HomeMy WebLinkAboutResource Allocation Plan 2008CITY OF NEWPORT BEACH
RESOURCE ALLOCATION PLAN
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Fiscal Year 2007 -08
NEWPORT BEACH, CALIFORNIA
RESOURCE ALLOCATION PLAN
FISCAL YEAR 2007 -2008
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Prepared for the Newport Beach City Council:
Mayor Steven Rosansky
Mayor Pro Tem Edward D. Selich
Council Member Keith D. Curry
Council Member Leslie Daigle
Council Member Nancy Gardner
Council Member Michael E Henn
Council Member Don Webb
As Employees of the City of Newport Beach, we choose to embrace and practice the
following values:
In practicing integrity, we strive to be honest, reliable, respectful, ethical, fair, and
authentic. We will serve in a manner consistent with community values and follow
through on our commitments.
In practicing empathy, we will be sensitive to the needs of others by being
compassionate, thoughtful, open- minded, willing to understand, and by being good
listeners.
In practicing service, we understand our roles as representatives of the City. We will
endeavor to practice humility, to make things better for others, and to treat others, as
we want to be treated.
In practicing excellence, we will strive to do our best by demonstrating competence
and a commitment to quality. We will be innovative, thorough, efficient, and effective in
our work.
In creating a positive work environment, we will express our appreciation for, and
recognize, others. We will follow a work ethic, take pride of ownership in our work, be
courteous, encourage creative thinking, seek and be open to challenges, create esprit
de corps, maintain a safe environment, and act with enthusiasm.
In creating unity of purpose, we will practice cooperation and teamwork. We will
practice open communication by keeping others informed, considering the needs of
others, and at times deferring to the needs of others.
In practicing responsibility, we will be accountable in our work, take initiative, make
appropriate decisions, and act decisively. We will acknowledge our errors and correct
them.
In practicing loyalty, we will respect the individual and the position. We will support
each other, abide by decisions, and strive to always present a positive image of the
City.
CITY OF NEWPORT BEACH
RESOURCE ALLOCATION PLAN
2007 -2008
TABLE OF CONTENTS
RESOURCE ALLOCATION PLAN
Tableof Contents .................................................................................................................. ............................... i
Listof City Officials .............................................................................................................. ............................... ii
City Manager's Transmittal Letter & Budget Overview ............................ ............................... ............................iii
INTRODUCTION
User's Guide ......................................................................................................................... ..............................1
OrganizationChart 2007 - 2008 .............................................................................................. ..............................6
SUMMARIES
Miscellaneous Statistical Information ............. ...............................
Historical & Projected Revenues by Category ..............................
Historical & Proposed Operating Expenditures by Fund ...............
Operating Expenditures by Department & Type ...........................
Historical Capital Projects Spending .............. ...............................
Operating Expenditures - AII Funds ............... ...............................
Summary of Estimated 2006 -2007 Year End Balances ................
Summary of Estimated 2007 -2008 Year End Balances ................
Projected Fund Transfers All Funds
.................................. ............................... 9
.................................. .............................10
.................................. .............................13
.................................. .............................14
.................................. .............................15
.................................. .............................16
I............................. ...............................
DEPARTMENT OPERATIONS
CityCouncil ..................................................... ...............................
CityClerk ........................................................ ...............................
CityManager ................................................... ...............................
Human Resources .......................................... ...............................
CityAttorney .................................................... ...............................
Administrative Services ................................... ...............................
Police Department .......................................... ...............................
FireDepartment .............................................. ...............................
PlanningDepartment ...................................... ...............................
Building Department ....................................... ...............................
General Services ............................................ ...............................
LibraryServices .............................................. ...............................
Recreation & Senior Services ......................... ...............................
PublicWorks ................................................... ...............................
Utilities Department ......................................... ...............................
Description of Internal Service Funds ............. ...............................
Debt Service & Other Activities ....................... ...............................
................. ............................... 20
................. ............................... 23
................. ............................... 26
CAPITAL IMPROVEMENTS
CapitalImprovements .......................................................................... ............................... ............................100
APPENDICES
Tide& Submerged Land Fund ............................................................. ............................... ............................106
CapitalAsset Schedule ........................................................................ ............................... ............................107
Equipment Maintenance & Replacement Fund ............................................................... ............................... 111
RollingStock in Service ................................................................................................... ............................... 112
Seven -Year Comparison of Full -Time Positions ............................................................... ............................... 113
Glossary of Fund Descriptions & Accounting Terms ........................................................ ............................... 114
II
NEWPORT BEACH CITY OFFICIALS
CITY COUNCIL
L to R: Council Members Michael F. Henn and Keith D. Curry, Mayor Pro Tem Edward D. Selich,
Mayor Steven Rosansky, Council Members Nancy Gardner, Don Webb and Leslie Daigle
L to R: City Manager Homer Bludau, City Attorney Robin Clauson, City Clerk LaVonne Harkless
Sharon Wood.......
Dave Kiff ..............
Dennis C. Danner
Jay Elbettar .........
Steve Lewis .........
Mark Harmon.......
Barbara Ramsey.
Linda Katsouleas.
David Lepo ..........
Bob McDonell......
Steve Badum.......
Wes Morgan........
Pete Antista .........
11
..... Assistant City Manager /Director of Community & Economic Development
................................ ............................... ......................Assistant City Manager
....................... ............................... Administrative Services Director /Treasurer
................................................................ ............................... Building Director
........................................................................... ............................... Fire Chief
................................................. ............................... General Services Director
............................................... ............................... Human Resources Director
................................................... ............................... Library Services Director
............................................................... ............................... Planning Director
............................................... ............................... .........................Police Chief
........................................................ ............................... Public Works Director
.............................. ............................... Recreation & Senior Services Director
............................................ ............................... ......................Utilities Director
CITY OF NEWPORT BEACH
Honorable Mayor Rosansky and City Council Members
City of Newport Beach
3300 Newport Boulevard
Newport Beach, California 92663
Dear Mayor Rosansky and Council Members:
As directed by the Newport Beach City Charter, it is my pleasure to submit the 2007 -2008 City Budget
to you. As you know, the Budget is a plan of financial activity for the fiscal year that starts July 1, 2007
and ends June 30, 2008.
As has been past practice, the Budget is contained in three major volumes:
• Resource Allocation Plan (a reader - friendly version of the Budget and Capital Improvement
Plan)
• Budget Detail (revenue estimates and line by line proposed expenditures for operations and
maintenance of City services)
• Capital Improvement Plan or "CIP" (a description of the significant capital projects and
infrastructure improvements planned for Fiscal Year 2007 -08).
To assist readers in the review of the documents, we have included a Users Guide and a Glossary
of Terms within the Resource Allocation Plan. The Users Guide includes a description of the Budget
process, how the Budget is administered after adoption, and a description of the various funds utilized
by the City to properly account for its revenues and expenditures. Readers will find the Glossary of
Terms at the end of the Resource Allocation Plan. This Glossary defines many of the terms used in
governmental accounting within budgets, including a definition of each fund used by the City.
I have summarized the information within the Budget — as well as how the Budget meets the goals
and priorities of the City Council — in a Budget Overview that follows this letter. This Overview is
intended to provide background and supporting information for review of the budget itself.
In closing, let me once again express my appreciation to the very talented and dedicated members of
all our City departments who labor over the details of this document to produce an accurate and
understandable Budget each year. Two departments in particular deserve attention for extraordinary
efforts. The Administrative Services Department has pulled together all the details and summaries
to produce the completed budget document, and the Public Works Department has worked
extensively on our outstanding Capital Improvement Program.
Sincerely,
o
Homer L. Bludau ;
City Manager
City Hall 3300 Newport Boulevard Post Office Box 1768
Newport Beach, California 92658 -8915 - www.city.newport- beach.ca.us
111
A Budget Overview
The mild climate, beautiful beaches and recreational boat harbor, excellent shopping and dining
opportunities, and multitude of recreational activities, make the City of Newport Beach a destination
community for residents, visitors, and businesses. Newport Beach is a full service city, providing
nearly all public services including police, fire, water, sewer service, trash collection, libraries,
street maintenance, traffic management, parks, and marine safety. Preparation of the annual
City budget provides us with another opportunity to review operations, recognize our strengths,
and address any issues or challenges. Some of the areas we addressed during the development
of this budget are:
The City has recently updated our Facilities Financing Plan which includes a review
of existing City structures as well as developing a financing plan for the replacement
of these facilities, such as Police Headquarters, Fire Stations, Library Branches,
Lifeguard Headquarters, OASIS Senior Center, and the Civic Center Complex. Three
new facilities will be added to the City's Capital Assets this calendar year: Fire Station
#7, the Back Bay Science Center, and the Newport Coast Community Center. In
addition, fundraising efforts have been started for the replacement of the OASIS Senior
Center. We believe the City is well positioned to fund the replacement of its facilities
with the replacement program lasting approximately twenty years.
• In the fall of 2006, voters approved the City's comprehensive General Plan update,
the first in 30 years. The General Plan serves as the statement of official policy for
Newport Beach's long term physical development. Eleven elements were updated
or written for the first time, and a complete program environmental impact report was
prepared. The update process occurred over several fiscal years and involved the
use of several consultants as well as a significant public participation component. The
implementation of the Plans' policies is now in progress. The Planning Department's
major project for this fiscal year is the rewrite of the City's Zoning Code, which will
serve as the implementation tool for many of the new policies included in the General
Plan.
• Also in the fall of 2006, we began a comprehensive cost allocation study to identify
overhead expenses City -wide and by department. Concurrent with the cost allocation
study, we are conducting a cost of services study to ensure our fees and charges are
appropriate. The last time we completed similar studies was in 1996. Both of these
projects will be completed and submitted to Council with a goal toward implementing
any necessary changes this summer. The cost of services and cost allocation plan
models will allow City staff to prospectively identify changes in the level of services for
which fees are imposed and annually recommend to the City Council adjustments to
the Master Fee Schedule.
• Negotiations with all the miscellaneous employee bargaining units are in progress as
those contracts all expire on June 30, 2007. The Firefighters Association and the Fire
Management Association contracts expire December 31, 2007, so negotiations will
soon begin with those groups, too.
iv
GENERAL FUND vs. TOTAL BUDGET. The General Fund is the key operating fund within the
City's budget. The General Fund is used to account for discretionary revenues and expenditures
while all other funds are used to account for enterprise activities, internal service activity, major
capital improvement projects and special revenue sources that are otherwise restricted for
specific purposes. Enterprise funds include the activities of the Water and Wastewater operations.
Internal service funds are essentially internal cost centers used to account for centralized
activities including claims management, equipment replacement, compensated absences and
post employment medical benefits. Capital project funds account for major facility improvements,
such as the Mariners Library, Back Bay Science Center and Fire Station #7. Special revenue
funds include gas tax revenues, Measure M taxes and revenues generated from tidelands just to
name a few. For the purposes of this overview, enterprise activity, special revenue sources and
major capital improvement funds are segregated from General Fund activity and are summarized
as "All Other Funds."
REVENUE OUTLOOK. We are projecting FY 2007 -08 General Fund revenues at $147.0 million.
This is a slight decrease from our revised FY 2006 -07 revenue estimate of $147.5 million and is
primarily due to the completion of several grants as well as one -time fundraising efforts for the
City's Centennial Celebration. Property tax revenues, estimated to be $73.1 million in FY 2007-
08, account for approximately 50% of total General Fund revenues. This is an almost 4% increase
over FY 2006 -07 property tax revenues. Sales tax and Uniform Transient Occupancy tax are the
next largest component of the City's General Fund revenue with a FY 2007 -08 estimate of $34.2
million combined.
The table below highlights some of the areas of change and projected change in General Fund
revenues and all other revenues:
Revenue
Total Property Taxes
Taxes Other than Property
Licenses and Permits
Intergovernmental
Charges for Services
Fines, Forfeitures & Penalties
Use of Money and Property
Other Revenue
Total General Fund Revenue
All Other Revenue
Total City Revenue
Less Internal Premiums
Total City Revenue Net of Internal Charges
2006 -07 2006 -07 2007 -08 Change from
Adopted Budget Amended Budget Proposed Budget Amended
$ 67,102,454
$ 38,660,853
$
2,819,900
$
2,488,100
$
13,211,561
$
3,567,500
$
8,181,010
$
418,142
$ 136,449,519
$ 52,467,322
$ 188,916,841
$ 70,493,414
$ 39,591,655
$
2,898,343
$
6,336,272
$
13,473,234
$
3,580,338
$
8,281,363
$
2,841,354
$ 147,495,973
$ 66,967,270
$ 214,463,243
$
73,083,537
3.67%
$
41,371,520
4.50%
$
3,876,320
33.74%
$
2,333,100
- 63.18%
$
13,701,298
1.69%
$
3,593,500
0.37%
$
8,489,867
2.52%
$
515,800
- 81.85%
$
146,964,943
-0.36%
$
64,442,708
-3.77%
$
211,407,651
-1.42%
$ (14,331,323) $ (14,363,323) $ (15,731,431) 9.53%
$ 174,585,518 $ 200,099,920 $ 195,676,220 -2.21%
Total City revenues, excluding internal premiums, are expected to decrease 2.21 % from revised
projections for FY 2006 -07 to $195.7 primarily due to the completion or pending completion of
several significant community facilities such as the Mariners Branch Library and the Back Bay
Science Center, which were partially funded through some significant grants and donations. Total
revenues from outside sources are estimated to be approximately $211.4 million.
EXPENDITURE OUTLOOK. The General Fund contains expenditures for all operating City
departments except for the Harbor Resources Division within the City Manager Department and
the Oil and Gas Division of Utilities which are all funded through Tidelands, and the Water and
Wastewater Divisions within Utilities. The General Fund is usually the most discussed fund and
is generally of most interest to residents. In 2007 -08, the proposed General Fund expenditures,
including General Fund capital improvements, total $141.3 million, a decrease of $5.4 million
(3.66 %) from the amended FY 2006 -07 General Fund budget. This decrease is primarily due to
the completion of several major capital improvements.
Function and Activities
GENERAL FUND BUDGET
General Government
Public Safety
Community Development
Public Works
Community Services
Total General Fund Operating Budget
General Fund CIPs
Total General Fund Budget
TOTAL CITY BUDGET
Total Operating Budget
Total CIP Budget
Total City Budget
Less Internal Charges
Total City Budget Net of Internal Charges
2006 -07
Adopted
Expenditures
$ 13,682,487
$ 68,613,217
$ 6,846,211
$ 27,743,326
$ 10,857,621
$ 127,742,862
$ 7,215,278
$ 134,958,140
$ 165,574,748
$ 40,051,405
$ 205,626,153
$ (14,331,323)
$ 191,294,830
2006 -07
Amended
Expenditures
$ 14,420,744
$ 69,538,411
$ 7,547,629
$ 28,079,344
$ 12,268,462
$ 131,854,590
$ 14,801,081
$ 146,655,671
$ 171,707,113
$ 66,333,313
$ 238,040,426
$ (14,363,323)
$ 223,677,103
2007 -08
Proposed
Expenditures
$ 13,272,064
$ 71,051,729
$
7,191,318
$
28,982,445
$
11,981,757
$
132,479,313
$
8,808,950
$
141,288,263
$ 171,608,575
$ 37,316,135
$ 208,924,710
$ (15,731,431)
$ 193,193,279
Change
from
Ampl rlpd
-7.97%
2.18%
-4.72%
3.22%
-2.34%
0.47%
-40.48%
-3.66%
-0.06%
- 43.74%
- 12.23%
Q 53 -/
-. o.00 io
Total proposed City expenditures in 2007 -08, including debt service and capital projects, is $208.9
million. Excluding internal service premiums charged to fund insurance reserves, equipment
maintenance and replacement, and post employment medical benefits, total expenditures to
outside sources are proposed to be approximately $193.2 million. The budget shortfall between
total external revenues and expenditures is due to the timing of Capital Improvement Project
(CIP) revenues and expenditures. CIP projects often span one or more fiscal years. Of the $193.2
million of proposed expenditures in fiscal year 2007 -08, a total of $14.7 million CIP projects are
estimated to be rebudgeted from a prior fiscal year because the project was delayed or is only
partially completed. These funds are reserved in a Capital Appropriations reserve, but when the
appropriation is carried forward to the following year, this re- appropriation causes expenditures
to exceed current year revenues.
Excluding CIPs and internal charges, the total FY 2007 -08 operating budget amounts to $171.6
million. This represents a .06% decrease from the 2006 -07 amended budget, despite increases
in salaries and benefits, staffing increases, the opening of the Newport Coast Community Center,
additional maintenance costs for parks, and increased litigation expenses. These increases
were offset by non - recurring events in FY 2006 -07, such as the Centennial Celebration, General
Plan Update, Spheres Issues, Council Elections, and contract encumbrances that were carried
forward from the prior year.
Vi
I am recommending the addition of seven new full -time positions in the 2007 -08 budget and the
deletion of two full -time positions for a net change of five full -time positions. The role of the City
Attorney's office has changed resulting in the requested deletion of the Deputy City Attorney/
Litigation and their Department Assistant. The Deputy City Attorney's functions will be contracted
to outside law firms and the Department Assistant will be replaced with a part-time employee.
The additional positions are primarily due to the upcoming opening of two new facilities: Newport
Coast Community Center and the Back Bay Science Center:
• Marine Refuge Supervisor (City Manager — Harbor Resources) — Tidelands
• Public Information Officer (City Manager - PIO) — General Fund
• Parks Supervisor - Contracts (General Services) — General Fund
• Groundsworker II (General Services) — General Fund
• Department Assistant (Recreation and Senior Services) — General Fund
• Facilities Maintenance Worker II (Recreation and Senior Services) — General Fund
• Department Assistant (Utilities) — Water
To review historical staffing trends, please refer to the Seven -Year Comparison of Full -Time
Positions in the Appendix Section.
CAPITAL IMPROVEMENT PROGRAM (CIP). The CIP serves as a funding plan for public
improvements, special projects, and many ongoing maintenance programs. Projects in the CIP
include construction and rehabilitation of arterial highways, local streets, storm drains, bay and
beach improvements, parks and buildings, and water and wastewater improvements. The FY
2007 -08 CIP budget isjust over $37.3 million and consists of nearly 100 projects. Specific project
plans for this budget year are discussed in more detail in the CIP section of the Budget documents,
as well as the printed Capital Improvement Program budget document. There is also a summary
of Historical Capital Projects Spending in the Introduction Section of this document.
CONCLUSION. This budget will assist the City of Newport Beach in continuing to provide and
improve the quality of services that the citizens of this community have come to expect and
deserve. The financial plan for FY 2007 -08 is conservative and balanced. All Council reserve
fund policies have been met and the proposed General Fund expenditures are fully offset by
anticipated General Fund revenues. I am pleased to present the FY 2007 -08 budget to the City
Council and to the citizens of Newport Beach, California.
vii
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CITY OF NEWPORT BEACH
BUDGET FOR FISCAL YEAR 2007 -2008
User's Guide
Each year the City prepares and adopts, by formal Resolution, an annual budget as required by
the City's Charter. The budget is the operating and capital expenditure plan for the City for the
fiscal year beginning on July 1 and ending on June 30 of the following year.
Budget Process — During December of each year, the Administrative Services Department
prepares preliminaryfund balance estimates for the currentyearand preliminary revenue estimates
for the next fiscal year. In January of each year, the Administrative Services Department prepares
a budget calendar and issues budget instructions and expenditure detail to each department
for use in preparation of the next year's City budget. Included in these instructions are budget
guidelines and appropriation limits for each department. These guidelines are developed by the
Administrative Services Director and approved by the City Manager.
After submission of revenue and appropriation requests by each department, the Administrative
Services Department summarizes the requests for review by the City Manager and department
heads. After review at the City Manager level, the Administrative Services Department prepares
the City's proposed budget for the next fiscal year and submits it to the City Council. Thereafter,
the City Council holds as many budget study sessions as it deems necessary. All proposed Council
changes in the City Manager's proposed budget are added to a budget checklist. Subsequent to
Council review and prior to its final adoption, the City Manager provides each Council Member
with an itemized list of all proposed changes to permit a roll call vote by the City Council on each
item during the budget hearing at the regular Council meeting. The City Council holds the budget
hearing and adopts the budget on or before June 30 as required by the City Charter.
The Budget is prepared on a modified accrual basis with all appropriations lapsing at the close of
the fiscal year. If an expenditure of an appropriation is required but unexpended at the close of the
fiscal year, the appropriation must be rebudgeted or reappropriated by the City Council.
Administration of the Annual Budget — During the budget year, department heads and their
designated representatives may only authorize expenditures based on appropriations previously
approved by City Council action, and only from accounts under their organizational responsibility.
In addition, budget expenditures may only be authorized in the year appropriated. Department
heads are responsible for not authorizing expenditures above budget appropriations in any given
expenditure classification within their purview, without additional appropriation or transfer as
specified below.
New Appropriations. During the Budget Year, the City Council may appropriate additional funds
for special purposes by a City Council Budget Amendment. The City Manager has authority to
approve requests for budget increases not to exceed $10,000 in any Budget Activity or Capital
Project. All budget amendment increases exceeding $10,000 shall be referred to the City Council
for approval.
Transfers. During the fiscal year, actual expenditures may exceed budget appropriations for
specific expenditure line items within departmental budgets. If a total departmental budget, within
a specific Classification, is not exceeded, the Administrative Services Director has the authority to
transfer funds within that Classification and department, to make the most efficient use of funds
appropriated by the City Council. (Salaries and Benefits, Maintenance and Operation, Other
Charges, and Capital Outlay are the City's four Classifications.)
Realignments. Further, funds may be realigned between one Department Budget Activity and
another, within the same Classification, with City Manager approval. For example, if a Fire
Department function and the employee who accomplishes it are replaced by a slightly different
function assigned to the Police Department, the City Manager may authorize the transfer of
appropriate salary and benefit funds to support this function.
Reorooramminp. Any reprogramming of funds among the four Classifications (Salaries and
Benefits, Maintenance and Operation, Other Charges, and Capital Outlay) within a given fund
requires the City Manager's approval. Any budget revision that changes the total amount budgeted
for any fund (other than the minor provisions allowed for the City Manager) must be approved by
the City Council.
Capital Projects. The department head having primary responsibility for a Capital Project (usually
the Public Works Director) is authorized to encumber and approve subsequent expenditure of
City funds for Capital Projects. However, contracts in excess of $30,000 require specific City
Council authorization at the time of contract award. In addition, any contracts not of format and
wording already approved by the City Attorney require specific City Attorney review and approval
prior to contract award.
The budget document is intended to provide the public concise and readable information about the
City of Newport Beach's proposed operating and capital budgets, as well as anticipated funding
sources.
The document is actually prepared in three separate volumes: the Resource Allocation Plan,
the Budget Detail, and the Capital Improvement Program.
The Resource Allocation Plan is designed to be the summary "user friendly" document for
the public. It is divided into the following five major sections: (The Table of Contents lists every
subject covered in the budget document and its page number.)
• Introductory Section — includes the Table of Contents, City Organization Chart,
List of City Officials, and the City Manager's Letter of Transmittal.
• Summary Section — includes a table of Miscellaneous Statistics for the City,
Revenues by Source, Expenditures by Function, Estimated Fund Balances, and
Schedule of Fund Transfers.
• Operating Budgets — includes proposed operating budgets by department.
• Capital Improvement Program — includes proposed capital improvement
budgets by funding source.
2
• Appendix — includes a summary of the Tide and Submerged Land Fund; a
description of the Internal Service Funds; Land, Structures and Improvements for
the City; a summary of Rolling Stock in Service; a Seven Year Comparison of Full -
time Positions; a listing of Debt Service obligations for the City; and a Glossary
of accounting terms and definitions of terms used in the Newport Beach Budget
documents.
Both the Budget Detail volume and the Capital Improvement Program volume are designed to
provide the reader more detail on the proposed operating and capital improvement expenditures.
The Capital Improvement Program volume also serves as a Five Year Proposed Capital
Improvement Plan.
For the most part, the General Fund is the portion of the City's operating budget that funds the
majority of City services. This fund is used to account for fiscal resources which are dedicated to
the general government operations of the City, and which are not required to be accounted for
in another fund. Examples of the services funded by the General Fund include Police, Fire, and
Lifeguard Services; Refuse Collection; Public Library; Recreation Programs; much of the City's
expenditures on street maintenance; Planning and Building, and Engineering services; as well as
the general administration of the City. In addition, many Capital Improvements are funded by the
General Fund.
The General Fund and its activities are primarily supported by property, sales, and transient
occupancy taxes. In addition, the other revenue sources supporting General Fund activities
include: Licenses, Fees and Permits; Intergovernmental Revenues; Charges for Services;
Fines, Forfeitures and Penalties; Revenue from the Use of Money and Property; Contributions;
and Other Miscellaneous Revenue. By far, the City's largest revenue source is property taxes.
The City's second largest single revenue source is Sales Tax, followed by Transient Occupancy
Tax. Together, these three revenue sources provide nearly 73% percent of total General Fund
revenues.
In addition to the City's General Fund, there are numerous other funds that help finance City
expenditures, particularly capital improvements. The City's Special Revenue Funds are used to
account for the proceeds of special revenue sources, which are legally restricted to expenditures
for specific purposes. The best example of a special revenue fund is the City's Gas Tax Fund,
which is funded by the State Gasoline Tax, and which can only be expended for street repair,
construction, and maintenance. The City has many other special revenue funds that are all
included in the Budget.
The City employs Internal Service Funds to account for vehicle maintenance and replacement, as
well as all compensated absences, general liability, workers' compensation, and other insurance
payments. These internal service funds are funded by charging each of the operating departments
a rate computed to support these activities.
Finally, the Budget includes Enterprise Funds, which are used to account for City operations that
are financed and operated in a manner similar to private business enterprises. The objective of
segregating activities of this type is to identify the costs of providing the services, and to finance
Kt
them through user charges. The two main City enterprise funds are the City's Water Fund and the
Wastewater Fund. Both of these funds are financed by user charges to the customers (residents
and businesses of Newport Beach).
Appropriation (Gann) Limit — Article XI 1113 of the California Constitution (Proposition 4) specifies
that tax based appropriations of government entities (with certain exclusions) may increase
annually only by a limited amount (primarily to allow for population increases and inflation).
Newport Beach has been under its Gann Limit by a comfortable margin each year. For 2006 -07,
the appropriations limit adopted by the City Council, in accordance with Revenue and Taxation
Code Section 7910, was $125,314,360. Calculations determining this amount, which is almost
$21 million greater than the budgeted proceeds of taxes (even without adjusting for exclusions)
are verified as part of the City's annual audit. The Gann Limit for 2007 -08 will be calculated in late
May, 2007, and presented to the City Council for adoption, as required.
In addition to the Annual Budget, the City's audited financial statements for the prior fiscal years
are available in the Administrative Services Department, City Clerk Department, and each of the
City's library branches.
Fund Balance Policy — The City Council has recently adopted a revised official policy (Policy
F -2 in the City of Newport Beach Council Policy Manual) regarding reserve levels among its
various funds. This policy, in part, states that "The City Council has determined that a General
Fund Contingency Reserve be created and that the balance in this reserve shall be maintained
with not less than 12.0 percent of the appropriation budget total within the General Fund of the
City's annual approved budget." The balance in this reserve is currently at the targeted amount. In
addition, Policy F -2 includes a designated Reserve for Capital Improvement to fund replacement
of City owned buildings.
In addition to the General Fund's reserves, other reserve levels have been established. In the Tide
and Submerged Land Fund, reserves are designated for Upper Newport Bay restoration projects.
The City's Permanent Endowment Fund (Robinson SkinnerAnnuity) provides investment earning
be reserved for dredging projects in Newport Bay. Reserves in the City's Water Enterprise Fund
and the Wastewater Enterprise Fund are designed to guarantee their operation and are to be used
for emergency repairs of the systems. Reserves have also been established for the City's Internal
Service Funds, which fund such activities as Equipment Maintenance and Replacement, and
Insurance Reserves for such items as liability, workers' compensation, compensated absences,
retiree insurance, and disability.
Debt Administration —The City does not issue debt instruments to finance operating activities;
therefore Debt Service Expenditures are the result of capital financing ventures. There are two
principal reasons why debt instruments are issued. The first circumstance is when the cash flow
for the construction or purchase of a long -term asset would cause a significant strain on the
City's cash flow and the asset to be financed will benefit many service periods. In no instance
would the City select the duration of a given debt instrument to extend beyond the expected life
of the asset financed. The second scenario arises when an asset to be purchased may not cause
a significant cash flow strain but it would be economically advantageous to finance the asset
rather than to purchase it outright (e.g. occasionally the City can borrow money at a lower rate
than its investment portfolio is earning). Information regarding the City's current Debt Service
Expenditures is included in the section entitled, Other Activities.
0
Cash Management — The City pools all cash and investments of all funds, except for funds
required to be held by outside fiscal agents under the provisions of certificates of participation and
investment funds in its deferred compensation plan. Under the provisions of the City's investment
policy, and in accordance with Section 53601 of the California Government Code, the City may
deposit and invest in the following:
• Certificates of Deposit
• Negotiable Certificates of Deposit
• Bankers Acceptances
• U.S. Treasury Issues
• Federal Agency or U.S. Government - Sponsored Enterprise Obligations
• Commercial paper
• Repurchase Agreements and Reverse Repurchase Agreements
• Passbook Savings Accounts
• Local Agency Investment Fund (State of California)
• County Investment Pool (Los Angeles)
• Medium Term Corporate Bonds /Notes
• Mortgage- backed Securities and Asset - backed securities
• Municipal Bonds
• Money Market Funds
The City allocates interest to all funds as required by Federal, State, County, or local code. Each
fund allocated interest is indicated on the Revenue Summary of the Budget Detail book.
5
ELECTORATE
r BUILDINGCODE 1
BOARD OF APPEALS
r an CLERK
CIVIL BERVICE BOARD
L- - - - - -J
r- - - - - -i
PLANNING COMMISSION
L- - - - - -J
FF
ASSISTANT CITY MANAGER
CommunRy.B...coeveb riet
CWa Enfwmmenl
PLANNING
Land Use and Development
Long -Range Planning
Planning Commission Support
Housing Programs
BUILDING
Administration Plan Chec4/Penntt Services
Public Counter Inspections
Use and Occupancy Residermal Building Records
FIRE
Fire Suppression(Operallons) Ocean LifeguaMs
Training and Education Hazardous Materials
Fire Prevention Junior Lifeguard Program
Admlastratlen Emergency Medical Services
POLICE
Patrol Support Services
Treffm Chref of Police
Detective
ADMINISTRATIVE SERVICES
c ou
.ntinglRepoltinglBudgeting
Treasury Management
Bill, & Receivables
PayrolllAaounts Payable
Cashiering
Geographic Information Systems
Revenue
Information Technology
Purchasing & Warehousing
Printing &Postal Services
O
ELECTED OFFICIALS
Fiscal Year 2007 -2008
(updated March 23, 20)7)
10
MAYOR
s
COUNCIL
II CITY ATTORNEY II
CITY MANAGER
r — — — — — — i
BOARD OF LIBRARY TRUSTEES
L- - - - - -J
r PARKS,BEACHES& ,
RECREATION COMMISSION
r- - - - - -�
CITYARTS COMMISSION
L- - - - - -J
r — — — — — — -
HARBORCOMMISSION
I ASSISTANTCITYMANAGER
Hamor Rassmm
wt.l'i -i
Emlmomemal Erftoca m
UTILITIES
waterservics wastinatercouaeion
Electrical Services Oil & Gas Production
Administraaum Street Lights
GENERAL SERVICES
Padua and Trees
Operetions Support
Field Maintenance
Traffic Signs &MaIXings
Building Maintenance
Refuse Collection
Equipment Maintenance
Recycling
PUBLIC WORKS
Engineering CIP Design &Ccnstrucdon
Imaid ... ure Master Planning Development Services
Traffic Planning& Engineering Public Right of Way Permuting
LIBRARY SERVICES
Central Library &Branches
Information &Reference Services
Adult & Youth Programs
Arts & Cultural Services
Literary Services
Board of Library Trustees Support
City Arts Commission Support
Sister City Association Support
RECREATION & SENIOR SERVICES
Youth, & Adult Sports Pmgrams Senior Programs &Services
PlaygmundlPark Development Special Events
Fecilily Manage-npAReservalum. PB&RCOmmdsion Support
HUMAN RESOURCES
R aumnib t
General Llablllly
EmployselLabor Relations
Benefits Administration
I
ClassifcabonlCompensabon
Workers COmpensaticn
Cilyvdde Troming
Retiree Counseling &Benefits
Civil Service Board Support
Grievances & Disopllnes
r - - - -�
COUNCILAPPOINTED WARDS &COMMISSIONS COUNCILAPPOINTED POSITIONS CITY OEPa =..-
TABLE OF MISCELLANEOUS STATISTICAL INFORMATION
FISCAL YEAR 2007 -2008
COUNCIL- MANAGER FORM OF GOVERNMENT
RESIDENTIAL POPULATION Uanumy 1, 2006 est.)
Permanent 83,361
Summer 100,000
TOURIST POPULATION 20,000 to 100,000 per day
AREA
Land
Bay
Ocean
TOTAL
Senate Miles
25.9
2.5
23.0
51.4
CITY WATER SERVICE CONNECTIONS
NUMBER OF FIRE STATIONS
NUMBER OF CITY LIBRARIES
NUMBER OF PARKWAY TREES
RECREATIONAL ACREAGE
Ocean Water
Harbor Waters
Parks
Beaches
TOTAL
26,369
8
4
38,000
Acres
14,894
1,600
450
237
17,181
Newport Beach is one of Southern California's most scenic and dynamic communities. It surrounds Newport
Bay, well known for its picturesque islands and one of the greatest natural recreational boat harbors in the
world, accommodating over 9,000 boats of all types docked within its 21 square mile harbor area. This bay
area and the 23 miles of ocean beach offer outstanding fishing, swimming, surfing and aquatic sports
activities. The City has a permanent population of approximately 80,000. During the summer months, the
population grows to over 100,000 with 20,000 to 100,000 tourists daily. There are fine residential areas,
modern shopping facilities and a quality school system. A major campus of the University of California is
located immediately adjacent to the City, and eight other colleges are within a 30 -mile radius. Located 50
miles south of Los Angeles in Orange County, Newport Beach offers one of the finest climates in the United
States.
G7
Acres
STREETS AND ALLEYS
Miles
Land
16,584
Improved
389
Bay
1,600
Unimproved
0
Ocean
14,894
State Highway
10
TOTAL
33,078
TOTAL
399
WATER FRONTAGE
Miles
DWELLING UNITS
Upper Bay Frontage
13
January 1, 2006
42,352
Ocean
10
Occupancy factor per dwelling unit
2.18
Harbor
21
TOTAL
44
POPULATION DENSITY
ASSESSED VALUATION
Per Square Mile
3,218
TOTAL
$32,194,902,544
Per Awn,
5.03
NEWPORT HARBOR
Boats
9,900
EMPLOYEES
Residential
1,230
Regular Full Time
819
Commercial Slips and Side Ties
2,330
Total "cludingPact Time)
1,289
Bay Moorings
1,235
Newport Beach is one of Southern California's most scenic and dynamic communities. It surrounds Newport
Bay, well known for its picturesque islands and one of the greatest natural recreational boat harbors in the
world, accommodating over 9,000 boats of all types docked within its 21 square mile harbor area. This bay
area and the 23 miles of ocean beach offer outstanding fishing, swimming, surfing and aquatic sports
activities. The City has a permanent population of approximately 80,000. During the summer months, the
population grows to over 100,000 with 20,000 to 100,000 tourists daily. There are fine residential areas,
modern shopping facilities and a quality school system. A major campus of the University of California is
located immediately adjacent to the City, and eight other colleges are within a 30 -mile radius. Located 50
miles south of Los Angeles in Orange County, Newport Beach offers one of the finest climates in the United
States.
G7
REVENUE
SUMMARY 2007.08
2002 -03
2003 -04 2004 -05
2005 -06
2006 -07
2007 -08
Percent
Actual
Actual Actual
Actual
Estimated
Proposed
Increase
Fund /Revenue Category Revenue
Revenue Revenue
Revenue
Revenue
Revenue
(Decrease)
GENERALFUND
PROPERTYTAXES
39,474,865
43,631,829
56,254,917
63,608,570
70,493,414
73,083,537
3.67%
TAXES OTHER THAN PROPERTY
32,985,528
35,790,936
34,993,699
38,676,046
39,591,655
41,371,520
4.50%
LICENSES AND PERMITS
2,305,118
3,483,020
3,061,667
3,295,053
2,898,343
3,876,320
33.74%
INTERGOVERNMENTAL
6,035,742
6,014,233
4,266,673
3,935,190
6,336,272
2,333,100
- 63.18%
CHARGES FOR CURRENT SERVICES
11,099,872
11,899,279
13,063,134
13,098,105
13,473,234
13,701,298
1.59%
FINES, FORFEITURES & PENALTIES
3,380,531
3,551,515
3,422,735
3,839,924
3,580,338
3,593,500
0.37%
USE OF MONEY AND PROPERTY
7,328.014
6,397,127
7,093,909
7,448,396
8,281,363
8,489,867
2.52%
OTHER REVENUE
1,173,647
216,898
1,138,281
1,645,515
2,841,354
515,800
- 81.85%
TOTAL GENERAL FUND
103,783,317
110,984,837
123,295,015
135,546,799
147,495,973
146,964,943
-0.36%
ASSET FORFEITURE FUND
INTERGOVERNMENTAL
47,795
59,652
233,471
95,697
40,000
40,000
0.00%
USE OF MONEY AND PROPERTY
13,556
1,638
3,750
1,639
5,000
5,250
5.00%
OTHER REVENUE
0
0
0
0
0
0
0.00%
TOTAL FORFEITURE FUND
61,351
61,290
237,221
97,336
45,000
45,250
0.56%
SLESF - COPS FUND
INTERGOVERNMENTAL
144,049
119,171
118,685
120,222
162,501
140,000
- 13.85%
USE OF MONEY AND PROPERTY
295
240
972
1,328
2,000
2,100
5.00%
TOTAL SLESF - COPS FUND
144,344
119,411
119,658
121,550
164,501
142,100
- 13.62%
JAG FUND (FORMERLY LLEBG)
INTERGOVERNMENTAL
37,847
39,448
24,569
0
7,422
0
- 100.00%
USE OF MONEY AND PROPERTY
933
2,975
414
0
0
0
0.00%
TOTAL LLEBG FUND
38,780
42,423
24,983
0
7,422
0
- 100.00%
CDBG FUND
INTERGOVERNMENTAL
3,235,483
0
559,698
532,350
717,037
447,432
- 37.60%
USE OF MONEY AND PROPERTY
28,085
5,598
7,905
15,789
1,500
0
- 100.00%
TOTAL CDBG FUND
3,263,568
5,598
567,603
548,139
718,537
447,432
- 37.73%
STATE GAS TAX FUND
INTERGOVERNMENTAL
1,332,751
1,484,796
1,497,280
1,501,409
1,807,500
1,507,500
- 16.60%
USE OF MONEY AND PROPERTY
166,499
20,735
68,658
87,681
140,000
147,000
5.00%
OTHER REVENUE
0
0
0
1,340
0
0
0.00%
TOTAL GAS TAX FUND
1,499,250
1,505,531
1,565,938
1,590,430
1,947,500
1,654,500
- 15.04%
TRAFFIC CONGESTION FUND
INTERGOVERNMENTAL
192,176
0
0
266,503
699,791
0
- 100.00%
USE OF MONEYAND PROPERTY
8,748
2,037
0
1,679
5,000
0
- 100.00%
TOTAL TRAFFIC CONGESTN FUND
200.924
2,037
0
268,182
704,791
0
- 100.00%
TIDELANDS FUND
LICENSES, PERMITS AND FEES
1,039,967
1,230,464
1,276,362
1,327,560
1,260,700
1,291,525
2.45%
INTERGOVERNMENTAL
18,333
18,333
0
0
0
0
0.00%
CHARGES FOR SERVICES
56,422
38,560
42,400
37,260
68,960
40,000
- 42.00%
FINES, FORFEITURES & PENALTIES
11,623
-514
-1,056
1,918
1,272
1,200
-5.66%
USE OF MONEY AND PROPERTY
5,374,101
5,696,396
6,224,026
7,482,416
6,927,105
8,158,238
17.77%
OTHER REVENUE
55,728
-2,384
0
2,724
0
0
0.00%
TOTAL TIDELANDS FUND
6,566,174
6,980,855
7,541,732
8,851,878
8,258,037
9,490,963
14.93%
CONTRIBUTIONS FUND
INTERGOVERNMENTAL
314,433
1,308,217
4,673,822
2,536,633
3,710,538
654,320
-20.61%
USE OF MONEY AND PROPERTY
0
0
0
106,906
17,299
18,164
0.00%
OTHER REVENUE
54,625
50,000
0
219,144
50,554
540,000
0.00%
TOTAL CONTRIBUTIONS FUND
369,058
1,358,217
4,673,822
2,862,683
3,778,391
1,212,484
-67.91%
CIRCULATION AND TRANS FUND
LICENSE, PERMITS AND FEES
855,301
681,046
411,229
893,083
300;000
300,000
0.00%
USE OF MONEY AND PROPERTY
249,237
27,585
88,169
92,022
148,000
155,400
5.00%
OTHER REVENUE
0
0
0
0
24,450
0
- 100.00%
TOTAL CIRCULATION FUND
1,104,538
708,631
499,397
985.105
472,450
455.400
-3,61%
BUILDING EXCISE TAX FUND
LICENSES, PERMITS AND FEES
197,133
210,086
218,976
193,266
150,000
150,000
0.00%
USE OF MONEY AND PROPERTY
12,405
1,692
7,579
9,657
10,000
10,500
5,00%
OTHER REVENUE
0
0
0
0
0
0
0.00%
TOTAL BET FUND
209.538
211,778
226.556
202.923
160.000
160.500
0,31%
1181
REVENUE
SUMMARY 2007 -08
2002 -03
2003 -04 2004 -05
2005 -06
2006 -07
2007 -08
Percent
Actual
Actual Actual
Actual
Estimated
Proposed
Increase
Fund /Revenue Category Revenue
Revenue Revenue
Revenue
Revenue
Revenue
(Decrease)
MEASURE "M "FUND
INTERGOVERNMENTAL
1,010,077
1,300,089
1,595,550
1,528,971
1,911,168
1,700,000
- 11.05%
USE OF MONEY AND PROPERTY
89,002
12,192
43,788
78,218
56,928
59,774
5.00%
OTHER REVENUE
0
0
0
0
0
0
0.00%
TOTAL MEASURE "M" FUND
1,099,079
1,312,281
1,639,338
1,607,189
1,968,096
1,759,774
- 10.58%
BIKES 8 TRAILWAYS FUND
INTERGOVERNMENTAL
0
0
0
0
0
0
0.00%
USE OF MONEY AND PROPERTY
3,878
309
0
0
0
0
0.00%
TOTAL BIKES B TRAILWAYS FUND
3,878
309
0
0
0
0
0.00%
AHRPFUND
INTERGOVERNMENTAL
366,441
690,543
125
166
1,393,500
653,000
- 53.14%
TOTAL ALRP FUND
366,441
690,543
125
166
1,393,500
653,000
- 53.14%
AIR QUALITY MGMT FUND
INTERGOVERNMENTAL
123,573
144,692
111,940
99,719
100,000
100,000
0.00%
USE OF MONEY AND PROPERTY
0
128
1,146
3,224
4,000
4,200
5.00%
OTHER REVENUE
0
0
0
0
0
0
0.00%
TOTAL AOMD FUND
123,573
144,820
113,086
102,943
104,000
104,200
0.19%
ENVIRONMENTAL LIABILITY FUND
OTHER REVENUE
414,803
332,813
358,247
453,140
370,000
392,000
5.95%
USE OF MONEY AND PROPERTY
79,954
10,135
39,112
53,524
76;000
79,800
5.00%
TOTAL ENVIRONMENTAL LIAB FD
494,757
342,948
397,360
506,664
446,000
471,800
5.78%
OIL SPILL REMEDIATION FUND
TOTAL OTHER REVENUE
0
0
0
0
0
0
0.00%
USE OF MONEY AND PROPERTY
76,455
7,007
17,895
10,680
5,000
5,250
5.00%
TOTAL OIL SPILL FUND
76,455
7,007
17,895
10,680
5,000
5,250
5.00%
NEWPORT ANNEXATION FUND
INTERGOVERNMENTAL
0
5,000,000
0
3,000,000
0
0
0.00%
USE OF MONEY AND PROPERTY
458,964
88,316
327,116
436,123
718,000
753,900
5.00%
TOTAL ANNEXATION FUND
458,964
5,088,316
327,116
3,436,123
718,000
753,900
5.00%
ASSESSMENT DISTRICT PROJECTS
OTHER REVENUE
2,127,087
260,457
14,779,013
0
0
0
0.00%
USE OF MONEY AND PROPERTY
0
5,501
76,768
111,497
13,724
14,410
5.00%
TOTAL ASSESSMENT DISTRICT FUND
2,127,087
265,958
14,855,781
111,497
13,724
14,410
5.00%
CIOSA FUND
OTHER REVENUE
1,981
0
0
0
0
0
0.00%
USE OF MONEY AND PROPERTY
218,056
26,551
75,339
65,052
120,000
126,000
5.00%
TOTAL CIOSA FUND
220,037
26,551
75,339
65,052
120,000
126,000
5.00%
BONITA CANYON DEV. FUND
OTHER REVENUE
0
0
0
0
0
0
0.00%
USE OF MONEY AND PROPERTY
194,454
65,517
7,147
4,166
4,000
0
- 100.00%
TOTAL BONITA CANYON DEV. FD.
194,454
65,517
7,147
4,166
4,000
0
-100.00%
MARINERS LIBRARY
INTERGOVERNMENTAL
0
144,685
0
959,208
2,076,846
0
- 100.00%
OTHER REVENUE
1,069,732
38,269
302,988
32,652
0
0
0.00%
USE OF MONEY AND PROPERTY
0
5,338
18,536
0
23,743
0
-100,00%
TOTAL MARINERS LIBRARY FUND
1,069,732
188,292
321,524
991,860
2,100,589
0
- 100.00%
FIRE STATION #7
INTERGOVERNMENTAL
0
0
2,500,000
0
1,600,000
0
- 100.00%
OTHER REVENUE
0
0
0
0
0
0
0.00%
USE OF MONEY AND PROPERTY
0
0
0
0
0
0
0.00%
TOTAL FIRE STATION 97 FD.
0
0
2,500,000
0
1,600,000
0
- 100.00%
BACK BAY SCIENCE CENTER
INTERGOVERNMENTAL
0
0
76,901
267,088
3,449,624
0
- 100.00%
OTHER REVENUE
0
0
0
25,000
1,100,000
0
- 100.00%
USE OF MONEY AND PROPERTY
0
0
960
0
0
0
0.00%
TOTAL BACK BAY SCIENCE CENTER
0
0
77,860
292,088
4,549,624
0
-100.00%
BAR COMMUNITY CENTER
INTERGOVERNMENTAL
0
0
0
0
100,859
0
- 100.00%
OTHER REVENUE
0
0
0
0
0
0
0.00%
USE OF MONEY AND PROPERTY
0
0
0
0
0
0
0.00%
TOTAL SAL COMMUNITY CENTER
0
0
0
0
100,859
0
-10000%
11
REVENUE
SUMMARY 2007 -08
2002 -03
2003 -04 2004 -05
2005 -06
2006 -07
2007 -08
Percent
Actual
Actual Actual
Actual
Estimated
Proposed
Increase
FundlRevenue Category Revenue
Revenue Revenue
Revenue
Revenue
Revenue
(Decrease)
MISC SAH PROJECTS
INTERGOVERNMENTAL
0
0
0
0
650,000
7,528,000
1058.15%
OTHER REVENUE
0
0
0
0
0
0
0.00%
USE OF MONEY AND PROPERTY
D
0
D
0
0
0
0.00%
TOTAL MISC SAL PROJECTS
0
0
0
0
650,000
7,528,000
1058.15%
WATER ENTERPRISE FUND
LICENSES, PERMITS AND FEES
0
0
0
0
0
0
0.00%
INTERGOVERNMENTAL
0
1,608,507
787,523
1,779,557
0
0
0.00%
CHARGES FOR SERVICES
16,228,130
16,655,234
16,677,054
16,098,693
17,261,743
17,932,085
3.88%
USE OF MONEY AND PROPERTY
837,322
128,259
304,820
325,637
650,000
682,500
5.00%
OTHER REVENUE
261,152
- 70,877
108,620
- 177,137
37,810
16,000
- 57.68%
TOTAL WATER FUND
17,326,604
18,321,123
17,878,017
18,026,750
17,949,553
18,630,585
3.79%
WASTEWATER ENTERPRISE FUND
INTERGOVERNMENTAL
0
105
664
152,790
0
0
0.00%
CHARGES FOR SERVICES
2,729,781
2,858,223
2,882,723
3,129,915
3,314,948
3,739,330
12.80%
USE OF MONEY AND PROPERTY
138,873
16,986
58,385
56,280
140,000
147,000
5.00%
OTHER REVENUE
.39,160
- 312,876
17,285
- 33,509
16,895
3,184
- 81.15%
TOTAL WASTEWATER FUND
2,907,814
2,562,438
2,959,058
3,305,476
3,471,843
3,889,514
12.03%
INSURANCE RESERVE FUND
WORKERS'COMP PREMIUM
3,199,425
3,199,597
3,199,597
3,199,424
3,199,421
3,199,421
0.00%
GENERAL LIABILITY PREMIUM
1,827,779
1,828,697
1,829,081
1,828,697
3,328,697
3,328,697
0.00%
DISABILITY INSURANCE PREMIUM
0
0
0
172
0
0
0.00%
OTHER REVENUE
328,917
37,094
145,801
214,767
225,000
236,631
5.17%
TOTAL INSURANCE FUND
5,356,121
5,065;388
5,174,479
5,243,060
6,753,118
6,764,749
0.17%
RETIREE MEDICAL FUND
CHARGES FOR SERVICES
1,532,299
1,629,794
1,482,274
1,383,791
420,000
1,470,500
250.12%
USE OF MONEY AND PROPERTY
72,743
10,160
0
104,321
212,500
223,125
5.00%
TOTAL RETIREE MEDICAL FUND
1,605,042
1,639,954
1,482,274
1,488,112
632,500
1,693,625
167.77%
COMPENSATED ABSENCE FUND
CHARGES FOR SERVICES
1,455,909
1,522,614
1,576,627
1,583,803
2,031,897
2,104,243
3.56%
USE OF MONEY AND PROPERTY
61,062
7,873
28,914
26,708
40,075
42,079
5.00%
TOTAL COMP. ABSENCE FUND
1,516,971
1,530,487
1,605,542
1,610,511
2,071,972
2,146,322
3.59%
EQUIPMENT MAINTENANCE FUND
INTERGOVERNMENTAL
0
75
0
0
0
0
0.00%
EQUIPMENT MAINTENANCE
1,523,806
1,704,155
1,819,912
1,779,264
1,989,590
2,050,000
3.04%
EQUIPMENT REPLACEMENT
2,696,264
2,743,083
2,922,406
2,380,011
2,515,148
2,700,000
7.35%
OTHER REVENUE
787,024
172,644
354,518
368,613
373,937
372,630
-0.35%
TOTAL EQUIPMENT FUND
5,007,094
4,619,957
5,096,836
4,527,888
4,878,675
5,122,630
5.00%
PD EQUIPMENT MAINTENANCE FUND
EQUIPMENT REPLACEMENT
0
0
0
611,916
878,570
878,570
0.00%
OTHER REVENUE
0
0
0
40,361
101,018
81,750
- 19.07%
TOTAL PD EQUIPMENT FUND
0
0
0
652,277
979,588
960,320
-1.97%
ACKERMANFUND
USE OF MONEY AND PROPERTY
11,013
4,878
19,895
25,121
40,000
42,000
5.00%
OTHER REVENUE
185,000
1,981,286
0
0
0
0
0.00%
TOTAL ACKERMAN TRUST FUND
196,013
1,986,164
19,895
25,121
40,000
42,000
5.00%
NEWPORT BAY DREDGING FUND
USE OF MONEY AND PROPERTY
132
17
68,718
99,719
160,000
168,000
5.00%
OTHER REVENUES
0
0
3,854,000
0
0
0
0.00%
TOTAL BACK BAY DREDGING
132
17
3,922,718
99,719
160,000
168,000
N/A
TOTALALLFUNDS
157,391,090
165,838,678
197,223,315
193,182,367
214,463,243
211,407,651
-1.42%
Less: Internal Premiums
(12,235,482)
(12,627,940)
(12,829,898)
(12,767,078)
(14,363,323)
(15,731,431)
N/A
TOTAL ALL CITY FUNDS, NET OF
INTERNAL PREMIUMS
145,155,608
153,210,738
184,393,418
180,415,289
200,099,920
195,676,220
-2.21%
12
EXPENDITURES BY FUND
2002 -03 2003 -04 2004 -05 2005 -06 2006 -07 2007 -08 % of Total
Actual Actual Actual Actual Estimated Proposed Operating
Function and Activities Expenditures Expenditures Expenditures Expenditures Expenditures Expentlitures Budget
GENERAL FUND BUDGET
General Government
30,385,765
32,448,435
34,492,665
38,172,037
40,122,056
41,463,875
23.37%
City Council
1,327,729
973,213
1,544,885
1,452,411
1,779,010
1,187,697
1.04%
City Clerk
355,940
294,781
375,456
424,080
511,109
382,780
0.30%
City Manager
994,278
1,956,574
1,038,657
1,491,403
1,732,695
1,357,272
1.01%
Human Resources
1,146,646
1,165,004
1,288,208
1,555,731
1,685,036
1,831,929
0.98%
City Attorney
868,117
1,071,588
970,473
1,020,120
1,052,680
1,062,509
0.61%
Administrative Services
4,996,566
5,278,946
5,655,488
6,587,456
7,660,214
7,449,877
4.46%
Total General Government
9,689,276
10,740,106
10,873,169
12,531,201
14,420,744
13,272,064
8.40%
Public Safely
Police Department
30,385,765
32,448,435
34,492,665
38,172,037
40,122,056
41,463,875
23.37%
Fire Department
22,014,685
24,029,946
24,601,409
26;821,147
29,416,355
29,587,854
17.13%
Total Public Safely
52,400,450
56,478,381
59,094,074.
64,993,194
69,538,411
71,051,729
40.50%
Community Development
1,078,207
1,178,187
1,189,389
1,780,139
1,985,898
1,930,168
1.16%
City Manager
357,693
476,286
526,477
510,540
647,131
663,325
0.28%
Planning
2,447,129
2,217,737
2,181,631
3,294,195
3,143,021
2,753,070
1.83%
Building
2,815,996
3,065,671
3,292,619
3,801,161
3,757,477
3,774,923
2.19%
Total Community Development
5,263,125
5,759,694
6,000,727
7,605,896
7,547,629
7,191,318
4.16°/,
Public Works
1,243,300
1,200,000
1,390,453
1,200,000
1,200,000
1,200,000
0.70%
General Services
15,416,692
16,741,145
18,315,517
19,553,413
21,790,907
22,684,331
12.69%
Public Works
3,503,545
3,754,009
4,056,923
4,561,179
5,138,911
5,082,383
2.99%
Utilities
1,343,414
1,024,651
1,095,695
1,188,143
1,149,526
1,215,731
0.67%
Total Public Works
20,263,651
21,519,804
23,468,135
25,302,735
28,079,344
28,982,445
16.35%
Community Services
14,818,855
15,677,816
32,644,853
23,865,851
62,671,535
30,954,398
36.50%
City Council - Centennial
-
-
94,036
601,375
509,642
-
0.30%
Recreation & Sr. Services
3,007,581
3,358,550
3,895,533
4,529,417
5,364,908
6,060,219
3.12%
Libraries B Arts
5,168,319
5,090,337
5,172,456
5,819,796
6,393,912
5,921,538
3.72%
Total Community Services
8,175,900
8,448,888
9,162025
10,950,588
12,268,462
11,981,757
7.141/6
General Fund Debt Service
-
-
-
-
-
-
0.00%
Total General Fund Op. Budget
95,792,402
102,946,873
108,598,130
121,383,604
131,854,590
132,479,313
76.79%
General Fund CIPS
4,379,362
4,594,096
5,790,097
6,505,345
14,801,081
8,808,950
8.62%
Total General Fund Budget
100,171,764
107,540,969
114,388,227
127,888,949
146,655,671
141,288,263
85.41%
ENTERPRISE FUNDS
Water - Operations
11,372,485
13,667,812
12,930,701
13,431,054
15,112,742
15,096,939
8.80%
Water -CIP
4,935,134
5,007,460
6,178,645
4,394,566
6,173,554
2,039,000
3.60%
Water - Debt Service
1,650,573
1,622,958
1,6461550
1,592,119
1,589,000
1,618,833
0.93%
Wastewater - Operations
1,893,290
2,221,135
2,188,180
2,241,047
2,682,210
2,639,889
1.56%
Wastewater- CIP
1,635,551
687,808
1,269,143
1,212,711
2,468,772
984,000
1.44%
Total Enterprise Funds
21 A87,033
23,207,173
24,213,218
22,871,497
28,026,278
22,378,661
16.32%
INTERNAL SERVICE FUNDS
Insurance Reserve
8,776,529
6,228,971
8,574,542
5,340,252
5,388,689
5,446,500
3.14%
Equipment Fund- Operations
3,824,754
3,687,090
3,565,439
4,228,344
5,843,668
3,954,068
3.40%
Equipment Fund - CIP
111,346
69,336
93,054
348,461
101,332
-
0.06%
Equipment Fund - Debt Service
831,589
459,776
27,849
268,316
119,568
49,820
0.07%
PD Equipment Replacement
-
-
-
413,133
781,664
514,000
0.46%
Compensated Absences
1,807,921
918,644
1,579,160
2,934,444
1,206,000
1,206,000
0.70%
Retiree Medical
1,132.143
1,199,235
1,735,921
2,326,967
1,974,956
3,133,000
1.15%
Total Internal Service Funds
16,484,282
12,563,052
15,575,966
15,859,917
15,416,077
14,303,388
8.98%
OTHERFUNDS
Police Grants
309,680
318,639
382,778
268,885
216,759
198,697
0.13%
CDBG - Operations
150,623
149,981
136,690
187,327
135,692
129,000
0.08%
CDBG - Debt Service
72,846
183,581
186,301
189,514
191,224
193,482
0.11%
Tidelands - Harbor Resources
1,078,207
1,178,187
1,189,389
1,780,139
1,985,898
1,930,168
1.16%
Tidelands - Oil and Gas
357,693
365,699
419,482
597,383
478,514
601,259
0.28%
Tidelands - Debt Service
237,062
237,062
237,062
237,062
237,062
237,062
0.14%
AOMD
130,641
96,003
66,297
28,350
26,415
26,415
0.02%
Environmental Liability
195,340
154,389
273,392
176,764
90,000
90,000
0.05%
Newport Annexation - Debt Service
1,243,300
1,200,000
1,390,453
1,200,000
1,200,000
1,200,000
0.70%
Library - Debt Service
565,925
567,935
564,514
569,875
567,780
569,730
0.33%
CIOSA Debt Service
-
-
-
-
-
270,000
Ackerman Fund
128,500
1,200,272
102,543
5,575
24,482
24,400
0.01%
All Other CIP
10,349,038
10,026,068
27,695,953
17,824,977
57,517,709
25,484,185
33.50%
Total Other Funds
14,818,855
15,677,816
32,644,853
23,865,851
62,671,535
30,954,398
36.50%
TOTAL OPERATING BUDGET
131,551,503
138,604,242
145,795,373
159,400,154
171,707,113
171,608,575
100.00%
TOTAL CIP
21,410,431
20,384,768
41,026,891
30,286,060
81,062,448
37,316,135
TOTAL CITY BUDGET
152,961,934
158,989,010
186,822,264
189,686,214
252,769,561
208,924,710
LESS: INTERNAL CHARGES
(12,235,482)
(12,627,940)
(12,829,898)
(12,767,078)
(14,363,323)
(15,731,431)
TOTAL BUDGET NET OF
INTERNAL CHARGES
140,726,452
146,361,070
173,992,366
176,919,136
238,406,238
193,193,279
13
DEPARTMENT SERVICES
City Council
City Clerk
City Manager
Human Resources
City Attorney
Administrative Services
Police
Fire
Planning
Building
General Services
Library Services (incl Cultural Arts)
Recreation and Sr. Services
Public Works
Utilities
INTERNAL SERVICES
Insurance Reserve
Equipment Maint. & Replacement
PD Equipment Replacement
Compensated Absence
Retiree Medical
DEBT SERVICE
Office Equipment Leases
CDBG Balboa Village Loan
Balboa Yacht Basin Construction Loan
Circulation and Transportation
Newport Annexation
Central Library Construction
CIOSA
Groundwater Improvement Bonds
Railing Stock Leases
OTHER ACTIVITIES
Narcotic Asset Forfeiture
BLEST
LLEBG
AQMD
Environmental Liability Fund
Ackerman Donation
Capital Improvement Projects
Total Budget
Less: Internal Charges
Total Budget Net of
Internal Charges
OPERATING BUDGET
Salaries and Benefits
Maintenance and Operator
Capital Outlay
Debt Service
Total Operating Budget
CAPITAL IMPROVEMENTS
TOTAL BUDGET
14
2007 -08 EXPENDITURES BY DEPARTMENT
Maintenance
Salaries& %of and %of Capital %of Debt Total %of
Benefits Total Operation Total Outlay Total Service Budget Total
244,778
0.23%
935,919
1.70%
7,000
0.18%
-
1,187,697
0.57%
327,976
0.30%
54,804
0.10%
-
0.00%
-
382,780
0.18%
2,709,096
2.50%
1,203,669
2.19%
38,000
0.96%
-
3,950,765
1.89%
1,160,269
1.07%
663,660
1.21%
8,000
0.20%
-
1,831,929
0.88%
820,204
0.76%
238,305
0.43%
4,000
0.10%
-
1,062,509
0.51%
5,848,508
5.39%
1,208,450
2.20%
392,919
9.90%
-
7,449,877
3.57%
34,357,562
31.66%
6,693.543
12.17%
412,770
10.40%
-
41,463.875
19.85%
24,629,190
22.69%
4,656,329
8.47%
302,335
7,62%
-
29,587,854
14.16%
2,279,203
2.10%
545,117
0.99%
57,750
1.45%
-
2,882,070
1.38%
3,439,822
117%
308,601
0.56%
26,500
0.67%
-
3,774,923
1.81%
9,867,671
9.09%
12,754,560
23.20%
62,100
1,56%
-
22,684,331
10.86%
4,333,696
199%
1,463,642
2.66%
124,200
3.13%
-
5,921,538
2.83%
3,018,750
2.78%
2,963,719
5.39%
77,750
1,96%
-
6,060,219
2.90%
4,180,147
185%
871,136
1.58%
31,100
0.78%
-
5,082,383
2.43%
5,579,606
5.14%
13,903,562
25.29%
70,650
1.78%
-
19,553,818
9.36%
-
0.00%
5,446,500
9.91%
-
0.00%
-
5,446,500
2.61%
1,358,079
1.25%
677,789
1.23%
1,918,200
48.32%
-
3,954,068
1.89%
-
0.00%
94,000
0.17%
420,000
10.58%
-
514,000
0.25%
1,206,000
1.11%
-
0.00%
-
0.00%
-
1,206,000
0.58%
3,058,000
2.82%
75,000
0.14%
-
0.00%
-
3,133,000
1.50%
-
0.00%
-
0.00%
-
0.00%
-
-
0.00%
-
0.00%
-
0.00%
-
0.00%
193,482
193,482
0.09%
-
0.00%
-
0.00%
-
0.00%
237,062
237,062
0.11%
-
0.00%
-
0.00%
-
0.00%
-
-
0.00%
-
0.00%
-
0.00%
-
0.00%
1,200,000
1,200,000
0.57%
-
0.00%
5,250
0.01%
-
0.00%
564,480
569,730
0.27%
-
0.00%
-
0.00%
-
0.00%
270,000
270,000
0.13%
-
0.00%
5,000
0.01%
-
0.00%
1,613,833
1,618,833
0.77%
-
0.00%
-
0.00%
-
0.00%
49,820
49,820
0.02%
-
0.00%
61,907
0.11%
16,790
0.42%
-
78,697
0.04%
109,721
0.10%
10,279
0.02%
-
0.00%
-
120,000
0.06%
-
0.00%
-
0.00%
-
0.00%
-
-
0.00%
-
0.00%
26,415
0.05%
-
0.00%
-
26,415
0.01%
-
0.00%
90,000
0.16%
-
0.00%
-
90,000
0.04%
-
0.00%
24,400
0.04%
-
0.00%
-
24,400
0.01%
-
0.00%
-
0.00%
-
0.00%
-
37,316,135
17.86%
108,528,278
100.00%
54,981,556
100.00%
3,970,064
100%
4,128,677
208,924,710
100.00%
(6,774,164)
(8,957,267)
-
-
(15,731,431)
101,754,114
46,024,289
3,970,064
4,128,677
193,193,279
%OF
%
%OF
%OF
BUDGET
TOTAL
GENERAL
BUDGET
TOTAL
TOTAL
TYPE
BUDGET
FUND
TYPE
BUDGET
108,528,278
63.24%
51.95%
96,687,165
72.98%
68.43%
54,981,556
32.04%
26.32%
34,258,074
25.86%
24.25%
3,970,064
2.31%
1.90%
1,534,074
1.16%
1.09%
4,128,677
2.41%
1.98%
-
0.00%
0.00%
171,608,575 100.00% 82.14%
37,316,135 100.00% 17.86%
208,924,710 100.00% 100.00%
132,479,313 100.00% 93.77%
8,808,950 100.00% 6.23%
141,288,263 100.00% 100.00%
Historical Capital Projects Spending
(dollars in thousands)
45,000
42,500
40,000
37,500
35,000
32,500
30,000
27,500
25,000
22,500
20,000
17,500
15,000
12,500
10,000
7,500
5,000
2,500
Annual Totals 26,383 21,410 20,385 41,027 30,286 66,333 37,316
■General Fund Projects
0 Special Revenue & Cooperative Projects
■Special Assessment Projects
❑ Enterprise Fund Projects
■ Internal Service Fund
O 9 O O 9 O 9 O
N f7 > f0 n
2001 -02
2002 -03
2003 -04
2004 -05
2005 -06
2006 -07
2007 -08
Actual
Actual
Actual
Actual
Actual
Estimated
Projected
General Fund Projects
General Fund
7,656
3,625
4,594
5,790
6,505
14,801
8,809
Special Revenue, Cooperative Projects & Others
CDBG
526
1,826
721
59
704
77
110
Gas Tax
2,107
1,622
1,549
1,476
2,231
1,851
4,114
Tidelands
958
858
910
887
942
2,285
2,354
Contributions
166
834
1,857
2,464
1,837
11,301
3,317
Circulation & Transportation
247
957
1,122
508
1,616
2,443
1,273
Building Excise Tax
640
180
154
170
297
277
340
Measure M
972
985
1,248
1,044
1,607
2,630
3,593
Bike & Trailways
-
58
-
-
-
-
-
AHRP Fund
527
679
85
-
72
1,328
653
Environmental Liability
-
-
-
-
-
635
Traffic Congestion Relief
539
363
85
-
255
701
176
American Trader Oil Spill Remediation
3,319
564
609
54
802
121
-
Newport Coast Annexation
-
32
7
375
850
6,157
-
Mariners Library
-
90
299
1,785
4,219
472
-
Fire Station #7
-
-
-
4,402
575
7,089
-
City Hall
-
-
-
-
417
7
-
Back Bay Science Center
-
-
-
-
450
6,575
-
SAH Community Center
-
-
-
-
101
-
-
Misc SAH Projects
-
-
-
-
102
236
7,841
Special Assessment Projects
Assessment Districts
1,670
1,697
782
12,373
504
599
-
CIOSA Development
148
295
516
1,245
225
1,079
Bonita Canyon Development
1,343
63
82
856
22
93
-
Enterprise Fund Projects
Water
4,447
4,935
5,008
6,179
4,395
4,924
2,039
Sewer
1,073
1,636
688
1,269
1,213
2,269
984
Internal Service Fund
Equipment Maintenance
45
111
69
93
348
101
-
45,000
42,500
40,000
37,500
35,000
32,500
30,000
27,500
25,000
22,500
20,000
17,500
15,000
12,500
10,000
7,500
5,000
2,500
Annual Totals 26,383 21,410 20,385 41,027 30,286 66,333 37,316
■General Fund Projects
0 Special Revenue & Cooperative Projects
■Special Assessment Projects
❑ Enterprise Fund Projects
■ Internal Service Fund
O 9 O O 9 O 9 O
N f7 > f0 n
OPERATING EXPENDITURES - ALL FUNDS
Acct
Code Activity - Function
Council
0100
City Clerk
0200
City Mgr.
0300
HR
0400
City Atty.
0500
Admin Svc.
0600
Police
1800
7000
SALARIES - MISC
238,949
1,783,202
767,571
394,493
4,031,474
5,785,501
7010
SALARIES -SAFETY
13,580,667
7020
SALARIES - PERM PART TIME &TEMP
50,000
230,024
103,215
257,087
233,511
744,171
7040
OVERTIME, MISC
1,221
21,604
2,273
17,017
261,932
7041
OVERTIME, SAFETY
1,011,487
7042
OVERTIME, PLANNED
7043
OVERTIME, VACATION RELIEF
7044
OVERTIME, UNCONTROLLED
7059
PACKER/CALLBACK/STANDBY PAY
7060
COPTER,TILLER, HAZ MAT & BILINGUAL
1,800
9,000
38,400
7062
NIGHT DIFF, MISC
4,500
49,947
7063
CERTIFICATION PAY & LONGEVITY PAY
59,638
7070
SCHOLASTIC ACHIEVEMENT
536,336
7072
HOLIDAY PAY, MISC & SAFETY
890,978
7085
UNEMPLOYMENT &TERMINATION PAY
7088
PAID FLEX/SPILLOVER PAY
7100
COUNCIL ALLOWANCES
102,407
7210
HEALTH /DENTAL /VISION
72,484 31,064
222,628
93,193
31,064
579,869
2,627,352
7226
RETIREE INSURANCE - MERP
9,285 2,028
8,112
2,892
1,200
13,350
44,947
7250
SALARY SAVINGS /REIMBURSEMENT
80
85,000
7251
RETIREE INSURANCE
7270
OTHER MISC BENEFITS
5,400
7290
LIFE INSURANCE
342
2,421
994
342
6,238
27,084
7295
EMPLOYEE ASSISTANCE
73
524
219
73
1,364
5,846
7370
WORKERS' COMP, MISC
3,524
37,957
6,368
9,550
88,609
82,890
7371
WORKERS' COMP, SAFETY
1,072,348
7373
COMPENSATED ABSENCES
8,363
62,412
26.,865
13,807
141,102
678,171
7425
MEDICARE FRINGES
1,485 3,465
28,177
12,652
9,448
52,878
253,702
7439
PERS EMPLOYEE CNTRBN -MISC
2,899 16,726
126,412
61,081
43,902
287,334
446,040
7440
PER EMPLOYER CONTRBN -MISC
3,B51 22,221
167,937
81,145
58,323
381,596
592,558
7441
IPERS EMPLOYER CNTRBN -SAFE
4,285,535
7442
PERS EMPLOYEE CNTRBN -SAFE
1,355,858
7460
RETIREMENT PART TIMEFFEMP
2,287
7,786
915
5,167
11,174
SUBTOTAL SALARY & BENEFITS
244,7781 327,9761
2,709,0961
1,160,2691
820,2041
5,W,5091
34,357,562
8010
ADVERT & PUB RELATIONS
4,000 10,000
5,000
39,000
18,885
8020
AUTOMOTIVE SERVICE
5,650
7,350
328,203
8022
EQUIPMENT MAINTENANCE
22,810
38,021
8023
AUTOMOTIVE PURCHASE
18,000
75,000
8024
EQUIPMENT REPLACEMENT
20,781
29,733
843,570
8030
MAINT & REPAIR - EQUIP
150 18,939
10,036
9,982
900
409,959
83,850
8040
MAINT & REPAIR - FACILITIES
20,320
35,000
200,228
8050
PSTGE,FREIGHT,EXPRESS NOC
1,000 3,500
10,800
11,500
2,500
42,394
60,815
8060
PUBLICATIONS & DUES NOC
50,000 650
10,240
3,500
2,050
13,450
23,162
8070
RENTAL/PROP & EQUIP NOC
5,700
7,280
52,350
8080
SERVICES -PROF & TECH NOC
305,000 8,400
872,497
454,000
200,650
200,132
587,488
80802
SERVICES -OTHER SPECIAL
80805
SERVICES -TREE RELATED
8081
SERVICES - JANITORIAL
11,300
97,751
8091
SERVICES - COMPUTER CONSULT
73,297
8100
TRAVEL & MEETINGS NOC
9,000 4,100
12,200
7,500
2,000
20,300
10,770
8105
TRAINING
3,000
9,000
10,500
3,500
34,500
200,233
8106
TRAINING, POST
94,750
8107
TRAINING, CITY WIDE
59,000
8112
UTILITIES- TELEPHONE
960
11,600
2,660
2,700
168,140
213,517
8114
UTILITIES - NATURAL GAS
500
3,800
8116
UTILITIES - ELECTRICITY
54,600
168,000
8117
UTILITIES - ELCTRIC VEH PGM
8118
UTILITIES - WATER
5,000
5,000
8140
SUPPLIES- OFFICE NOC
4,000 7,000
29,000
14,018
6,000
62,966
65,285
8142
SUPPLIES- COMPUTER/COPY MACHINE
12,175
41,500
8145
SUPPLIES -AUTO PARTS EXPNS
77,000
8148
SUPPLS -CHKS /INVOICES /FRMS
6,800
8150
SUPPLIES- JANITORIAL NOC
1,500
100
13,000
8155
WASTEWATER/SEWER PROGRAMS
8156
WELLS & STATION MAINTENANCE
8160
MAINT & REPAIR MATRLS NOC
600
31,468
4,700
20,000
8165
MAINT- IRRIGATION REPAIR
8166
MAINT - STORM DRAINS
8170
MAINT - BEACH CLEANING
40,000
8173
MAINT - BLDG /PLYGRND EQ RPR
8176
MAINT - TRAFFIC CONTROL
Qy
Acct
Code
Fire
2300
Planning
2700
Building
2900
Gen. Svcs.
3100
Library
4000
Rec &Sr Svc
4500
Pub. Works
5000
Utilities
5900
Internal Svc
6000
Other
Activities
Total
7000
1,010,223
1,609,511
2,392,104
6,223,509
2,348,494
1,592,805
3,012,713
3475,120
901,390
35,567,059
7010
11,013,488
24,594,155
7020
1,252,361
9,052
95,102
31,543
912,426
674,063
98,546
220,007
4,911,108
7040
49,704
47,007
427,033
8,788
9,037
6,476
174,742
17,796
1,044,630
7041
1,011,487
7042
519,060
-
-
-
-
_
519,060
7043
1,478,814
1,478,814
7044
883,157
883,157
7059
80,797
85,997
85,712
1,106
253,612
7060
18,396
5,400
1,800
74,796
7062
150
10,074
475
2,325
67,471
7063
123,705
35,750
14,650
990
2,432
25,700
6,500
269,365
7070
358,934
-
-
-
_
895,270
7072
281,951
1,172929
7085
778,875
778,875
7088
376,875
376,875
7100
102,407
7210
1,584,284
238,160
300,289
1,159,738
414,192
279,580
341,708
553,982
155,322
8,684,909
7226
21,528
5,700
4,908
18,540
3,216
1,926
5,052
10,194
648
153,526
7250
8,500
300,000
109,721
316,301
7257
2,808,250
2,808,250
7270
39,125
44,525
7290
17,353
2,535
3,285
12,016
4,140
2,829
3,760
5,919
1,676
90,934
7295
3,727
560
706
2,728
974
658
804
1,303
365
19,924
7370
23,449
24,714
49,139
590,560
61,170
50,917
69,074
286,394
84,373
1,468,688
7371
658,386
1,730,734
7373
420,830
56,333
83,724
217,823
80,444
55,748
105,445
121,629
31,549
2,104,245
7425
151,466
20,102
30,735
64,427
43,442
31,301
38,991
37,799
10,232
790,302
7439
71,656
112,666
170,328
437,416
182,845
129,137
211,060
245,461
63,184
2,608,147
7440
95,193
149,675
226,278
581,100
242,907
171,557
280,391
326,092
83,939
3,464,763
7441
3,398,976
-
-
_
7,684,511
7442
1,075,368
2,431,226
7460
46,964
339
3,566
591
20,584
15,927
3,695
7,227
126,222
24,629,190
2,279,201
3,439,821
9,867,671
4,333,696
3,018,750
4,180,147
5,579,606
5,622,079
109,721
108,528,278
8010
57,300
9,600
1,000
17,000
4,000
14,460
180,245
8020
151,314
500
8,000
366,260
2,500
29,250
5,600
91,500
8,500
7,500
1,012,127
8022
459,165
3,309
39,702
1,084,762
6,725
54,143
39,436
358,434
32,328
2,138,835
8023
22,000
18,000
22,000
35,000
190,000
8024
1,084,523
1,830
32,379
1,165,149
5,492
58,830
30,505
392,120
17,156
8,347
3,690,415
8030
150,690
8,200
33,100
13,000
76,530
10,335
251,310
10,450
3,975
1,091,406
8040
248,059
156,359
86,620
70,000
39,950
856,536
8050
23,120
12,000
3,400
1,500
18,000
49,448
3,906
50,000
293,883
8060
26,148
12,000
4,450
1,250
2,810
3,005
8,100
6,550
1,500
168,865
8070
70,443
500
12,200
1,200
103,000
6,200
10,279
269,152
8080
417,223
70,000
102,000
3,462,298
43,164
1,724,262
115,097
246,800
156,000
11,050
8,976,061
80802
839,107
839,107
80805
180,000
180,000
8081
8,721
-
-
280,840
75,225
126,963
-
1,500
_
-
602,300
8091
73,297
8100
57,830
19,000
5,600
6,050
9,050
8,000
8,000
5,250
4,275
188,925
8105
57,324
17,000
17,500
6,000
7,900
18,950
11,000
18,700
5,000
25,800
445,907
8106
94,750
8107
59,000
8112
59,908
750
11,045
20,300
10,285
13,474
18,400
33,800
3,000
570,539
8114
12,035
13,000
31,853
22,100
2,000
2,500
87,788
8116
89,169
167,500
156,828
114,500
1,594,775
23,000
2,368,372
8117
500
500
8118
21,300
661,000
14,454
32,303
19,900
28,000
786,957
8140
28,050
8,500
12,100
6,650
42,070
36,448
5,600
1,000
328,687
8142
62,477
5,870
122,022
8145
-
-
_
_
348,500
-
425,500
8148
11,750
18,550
8150
22,950
61,417
22,100
34,578
1,500
157,145
8155
15,000
15,000
8156
204,000
204,000
8160
28,220
1,000
200,625
15,450
15,966
1,800
20,000
339,829
8165
28,093
28,093
8166
60,400
60,400
8170
17,600
465,000
522,600
8173
5,000
5,000
8176
6,500
6,500
17
OPERATING EXPENDITURES - ALL FUNDS
Acct
Code Activity - Function
Council
0100
City Clerk
0200
City Mgr.
0300
Human Res
0400
City Atty.
0500
I Admin Svc.
0600
Police
1800
8178
ABLE EXPENSES
980,660
8179
ABLE - CAPITAL REPLACEMENT
8180
MAINT - OUTSIDE LABOR
8181
MAINT -COMP SOFTWARE
362,156
8182
MAINT -COMP HARDWARE
26,100
8183
MAINT - BACKFLOW & SCADA
8186
MAINT -SEWER
8190
WATER PROGRAMS
8200
SPECIAL DEPT SUPPLIES NOC
2,000 9,530 16,775 76,000 112,420
8202
COMPUTER SUPPLIES
1,500
8204
UNIFORM EXPENSE
2,380 135,000
8206
PRISONER CUSTODY EXPENSE
61,000
8208
PHOTO EXPENSE
20,000
8209
SHOOTING RANGE SUPPLIES
47,525
8210
S.W.A.T. SUPPLIES
34,604
8211
CANINE SUPPLIES
20,995
8212
STREET CLEANING EXPENSE
8214
CARPENTER SHOP SUPPLIES
8216
SAFETY EQUIPMENT
500
8220
SIGN SHOP SUPPLIES
8222
TRAFFIC SUPPLIES & CONTRACT
8224
ROADWAY PAINTS & BARS
8228
SIGNS AND SIGN MATERIALS
8232
SIGN INSTALLATION MATRLS
8234
IN SCTC D ES /H RBCDES /FN GCDES
8235
PLANT MATERIALS
8236
FERTILIZERITOP SOIL /AMENDMENTS
8238
ASPHALT /CONCRETE MATERIALS
8240
TOOLS, INSTRUMENTS, ETC
800 3,100 4,500
8250
SPECIAL DEPT EXPENSE NOC
512,450 2,000 1,938 65,033
8254
CITY GRANTS
25,000
8255
TUITION REIMBURSEMENT
50,000
8257
SISTER CITIES
8259
EMPLOYEE RIDESHARE FROM
8260
LIBRARY MATERIALS
8265
FIREWORKS
20,000
8295
IMPORTED WATER EXP - MWD
8296
IMPORTED WATER EXP - OCWD
8297
RECLAIMED WATER EXP -OCWD
8298
OTHER AGENCY FEES
8303
WATER CNSERV EDU & PUB REL
8330
SVC CHARGE - ADMINISTRATIVE
8340
GENERAL INSURANCE
319 655 1,837 1,230 13,532 1,466,096
8511
CITY SCHOLARSHIP TRUST
8512
HIGH TECH LIBRARY TRUST
8551
ECONOMIC DEVELOPMENT
8638
EXCESS INSURANCE
N/A
WORKERS' COMPENSATION
N/A
GENERAL LIABILITY
SUBTOTAL MAINT. & OPERATION
935,9191 54,8041 11203,669 663,6601 238,3051 1,N8,4501 6,693,543
9000
OFFICE EQUIPMENT
12,000 6,000 4,000 44,119
9005
COMPUTER EQUIP /PC REPLACEMENT
7,000 2,000 267,200 290,535
9020
FITNESS EQUIPMENT
5,000
9100
ROLLING EQUIPMENT
9102
CONTRACTED SET UP
9106
EQUIPMENT RENOVATION
9200
SHOP EQUIPMENT
2,500
9300
EQUIPMENT, N.O.C.
19,000 77,000 102,596
9400
OFFICE FURNITURE /FIXTURES
7,000 2,100 14,639
SUBTOTAL CAPITAL OUTLAY
7,000 38,000 8,000 4,000 392,919 412,770
DEBT SERVICE
TOTAL OPERATING EXPENSES
1,187,697 382,780 3,950,765 1,831,929 1,062,509 7,449,878 41,463,875
CAPITAL IMPROVEMENT PROJECTS
TOTAL 1,187,697 382,780 3,950,765 1,831,929 1,062,509 7,449,878 41,463,875
11.1
Acct
Code
Fire
2300
Planning
2700
Building
1 2900
I Gen. Svcs.
3100
I Library
4000
Rec &Sr Svc
4500
Pub. Works
5000
Utilities
5900
Internal Svc
6000
Other
Activities
Total
8178
980,660
8179
8180
63,500
63,500
8181
-
_
-
46,794
-
6,000
414,950
8182
26,100
8183
117,000
117,000
8186
153,000
153,000
8190
413,000
413,000
8200
350,926
5.500
30,400
30,000
36,610
243,944
9,117
292,100
85,000
1,300,322
8202
12,900
14,400
8204
217,027
47,800
2,540
11,900
416,647
8206
61,000
8208
20,000
8209
47,525
8210
34,604
8211
20,995
8212
56,550
56,550
8214
3,300
3,300
8216
4,000
4,500
8220
17,600
17,600
8222
116,000
116,000
8224
26,200
26,200
8228
38,500
38,500
8232
26,500
26,500
8234
6,000
6,000
8235
36,000
36,000
8236
25,000
25,000
8238
596,200
596,200
8240
1,000
300
1,000
11,350
1,150
8,700
6,000
37,900
8250
99,618
225,080
2,127,695
107,221
181,000
2,000
5,000
3,329,035
8254
40,000
65,000
8255
50,000
8257
21,500
21,500
8259
26,415
26,415
8260
639,740
639,740
8265
20,000
8295
3,400,000
3,400,000
8296
3,200,000
3,200,000
8297
80,000
80,000
8298
609,831
185,000
794,831
8303
100,000
100,000
8330
1,759,490
1,759,490
8340
217,308
21,548
7,425
740,005
5,172
62,458
347,815
366,243
77,055
3,328,698
8511
5,000
5,000
8512
19,400
19,400
8551
129,000
129,000
8638
-
-
4,700
-
-
90,000
94,700
N/A
2,496,241
2,496,241
N/A
2,950,259
2,950,259
4,656,3291
545,1171
308,601
1 12,754,560
1 1,463,642
1 2,963,718
1 871,136
1 13,903,562
1 6,293,289
223,251
54,981,556
9000
32,500
18,500
6,000
20,700
3,000
146,819
9005
23,225
9,250
15,500
8,100
8,750
1,200
13,000
3,500
649,260
9020
13,000
109,100
127,100
9100
1,895,000
1,895,000
9102
4,700
4,700
9106
230,000
230,000
9200
2,000
13,000
17,500
9300
266,110
46,600
7,000
63,000
51,650
192,000
16,790
841,746
9400
16,000
8,000
9,200
1,000
57,939
302,335
57,750
26,500
62,100
124,200
77,750
31,100
70,650
2,338,200
16,790
3,970,064
4,128,677
4,128,677
29,587,854
2,882,068
3,774,922
22,684,331
5,921,538
6,060,218
5,082,383
19,553,818
14,253,568
4,478,439
171,608,575
37,316,135
37,316,135
29,587,854 2,882,068 3,774,922 22,684,331 5,921,538 6,060,218 5,082,383 19,553,818 14,253,568 41,794,574 208,924,710
IM11
SUMMARY OF ESTIMATED 2006 -07 YEAR END FUND BALANCES
- 147,495,973
18,825,240
Estimated
Estimated
Estimated
Actual Estimated Budget
Capital
Year End
Fund Balance Revenue Transfers Transfers Expenditures
Improvements
Fund Balance
and l Account 2005 -06 2006-07 In Out 2006 -07
2006.07
200607
General Fund
- 147,495,973
18,825,240
19,697,694 133,054,590
13,568,929
-
Contingency Reserve
15,424,293 -
1,944,681
- -
-
17,368,974
Stabilization Reserve
- -
-
- -
-
-
ActualFairMarketValueAdj.
- -
-
- -
-
-
Future Fair Market Value Adj.
- -
-
-
-
-
Appropriations Reserve (operating)
558,081 -
1,260,303
- -
-
1,818,384
Appropriations Reserve (capital)
2,077,278 -
6,642,700
2,077,278 -
-
6,642,700
Reserve for Inventories
211,746 -
-
- -
-
211,746
Reserve for Prepaid Items
865,350 -
-
- -
-
865,350
Reserve for Encumbrances
6,918,206 -
-
6,918,206 -
-
-
Budgeted Program Changes
7,000,000 -
-
7,000,000 -
CDBG Fund
-
Affordable Housing Reserve
1,329,420 -
27,000
- -
-
1,356,420
Reserve for Long term receivable
50,000 -
-
- -
15,450
50,000
Paramedic Program (Hoag)
266,871 -
1,449
- -
-
268,320
Recreation Instruction Reserve
188,387 -
28,000
- -
-
216,387
Senior Citizen Site
20,330 -
2,500
- -
-
22,830
Park In Lieu Fees
1,309,816 -
68,940
- -
983,112
395,644
Off Street Parking
84,385 -
7,000
- -
-
91,385
In Lieu Parking Fees
362,969 -
60,000
- -
-
422,969
Neighborhood Enhancement Res. A
157,791 -
28,000
-
-
185,791
Neighborhood Enhancement Res. B
776,934 -
300,000
- -
130,545
946,389
Oceanfront Encroachment
985,204 -
190,000
- -
118,495
1,056,709
Cable Franchise
- -
1,216,400
- -
-
1,216,400
Reserve for Capital improvement
11,000,000 -
3,000,000
- -
-
14,000,000
Reserve for PERS Rate
5,000,000
164,501
-
-
5,ODO,000
-
54,587,061 147,495,973
33,602,213
35,693,178 133,054,590
14,801,081
52,136,398
Ackerman Donation Fund
-
-
-
-
-
-
-
Appropriations Reserve
-
40,000
-
40,000
-
-
-
AppropriationsReserve - Scholarship
176,792
-
8,000
-
5,000
-
179,792
Appropriations Reserve - Hi Tech
9,482
-
10,000
-
19,482
-
-
Perm Scholarship Endowment Reserve
205,669
-
7,000
-
-
-
212,669
Perm Equipment Endowment Reserve
617,007
-
15,000
-
-
-
632,007
Fair Value Adj. Reserve
-
-
-
-
-
-
-
Reserve for Encumbrance
-
-
-
-
-
-
-
CDBG Fund
-
-
-
-
-
-
Appropriations Reserve
(355,181)
718,537
55,727
15,450
326,916
76,717
-
Reserve for Encumbrance
55,727
-
-
55,727
-
-
-
AQMD Fund
-
-
-
-
-
Appropriations Reserve
170,199
104,000
-
-
26,415
-
247,784
Reserve for Encumbrance
-
-
-
-
-
-
-
Asset Forfeiture Fund
-
-
-
-
-
Appropriations Reserve
83,893
45,000
-
-
89,337
-
39,556
Fair Value Adj. Reserve
-
-
-
-
-
-
-
Reserve for Encumbrances
-
-
-
-
-
-
-
SLESF - COPS Fund
-
164,501
-
-
120,000
-
44,501
Justice Assistance Grant (formerly LLEBG)
-
-
-
-
-
-
Appropriations Reserve
-
7,422
-
-
7,422
-
-
Fair Value Adj. Reserve
-
-
-
-
-
-
-
State Gas Tax Fund
-
-
-
-
-
-
Appropriations Reserve
1,961,383
1,947,500
771,105
160,000
-
1,850,716
2,669,272
Fair Value Adj. Reserve
-
-
-
-
-
-
-
ReserveforEncumbrances
771,105
-
-
771,105
-
-
-
Trafflc Congestion Relief Fund
-
-
-
-
-
-
Appropriations Reserve
13,544
704,791
-
-
-
701,030
17,305
Fair Value Adj. Reserve
-
-
-
-
-
-
-
Reserve for Encumbrances
-
-
-
-
-
-
-
Measure M Fund
Turnback
1,276,687
1,156,928
1,305,621
-
-
2,248,771
1,490,465
Fair Value Adj. Reserve
-
-
-
-
-
-
-
TurnbackEncumbrances
1,305,621
-
-
1,305,621
-
-
-
Competitive
(196,168)
811,168
222,142
-
-
380,857
456,285
Competitive Encumbrances
222,142
-
-
222,142
-
-
-
AHRP Fund
Appropriations Reserve
(65,703)
1,393,500
-
-
-
1,327,797
-
Reserve for Encumbrances
-
-
-
-
-
-
-
SK11
SUMMARY OF ESTIMATED 2006 -07 YEAR END FUND BALANCES
Estimated
Estimated
Estimated
Actual Estimated Budget
Capital
Year End
Fund Balance Revenue Transfers Transfers Expenditures
Improvements
Fund Balance
Fund /Account 2005 -06 2006 -07 In Out 2006 -07
2006 -07
2006 -07
Title and Submerged Land Fund
Appropriation Reserve
(1,425,928)
8,258,037
1,727,831
2,319,306
2,701,474
2,285,160
1,254,000
Fair Value Adj. Reserve
-
-
-
-
-
-
-
Appropriations Reserve (capital)
1,425,928
-
-
1,425,928
-
-
-
Reserve for Encumbrances
301,903
-
-
301,903
-
-
-
UpperBayReserve
(132,367)
-
75,000
197,736
-
-
(255,103)
Oil and Gas
160,000
-
40,000
-
-
-
200,000
Contributions Fund
Misc Cooperative Projects
(5,116,196)
2,345,878
4,132,115
-
-
6,274,994
(4,913,197)
Bristol Street Relinquishment
790,548
-
-
-
-
494,677
295,871
PCH Relinquishment
3,501,908
-
-
-
-
91,642
3,410,266
Environmental Contributions
(85,328)
1,432,513
-
-
-
4,439,402
(3,092,217)
Reserve far Encumbrances
4,132,115
-
-
4,132,115
-
-
-
Circulation and Transportation Fund
Appropriations Reserve
1,971,582
472,450
887,463
-
-
2,442,663
888,832
Fair Value Adj. Reserve
-
-
-
-
-
-
-
Reserve for Encumbrances
887,463
-
-
887,463
-
-
-
Building Excise Tax Fund
Appropriations Reserve
289,916
160,000
8,481
-
-
276,543
181,854
Fair Value Adj. Reserve
-
-
-
-
-
-
-
Reserve for Encumbrances
8,481
-
-
8,481
-
-
-
Environmental Liability Fund
Appropriation Reserve
2,389,283
446,000
-
-
90,000
-
2,745,283
Fair Value Adj. Reserve
-
-
-
-
-
-
-
Reserve for Encumbrances
-
-
-
-
-
-
-
Oil Spill Remediation Fund
Appropriation Reserve
113,081
5,000
5,763
-
-
120,845
2,999
Fair Value Adj. Reserve
-
-
-
-
-
-
-
Reserve for Encumbrances
5,763
-
-
5;763
-
-
-
Newport Annexation Funds
Receipt Fund
11,200,000
448,000
-
1,400,000
-
-
10,248,000
Fair Value Adj. Reserve - Receipt
-
-
-
-
-
-
-
Allocation Fund
-
-
1,200,000
-
1,200,000
-
-
Fair Value Adj. Reserve - Allocation
-
-
-
-
-
-
-
Building Fund
81,915
270,000
6,156,603
-
-
6,156,603
351,915
Fair Value Adj. Reserve - Building
-
-
-
-
-
-
-
ReserveforEncumbrances- Building
6,156,603
-
-
6,156,603
-
-
-
Library Debt Service Fund
Appropriation Reserve
-
-
567,780
-
567,780
-
-
ReservefarDebtService
566,354
-
-
-
-
-
566,354
Assessment District Projects
Appropriation Reserve
1,336,559
13,724
589,532
-
-
598,533
1,341,282
Reserve for Encumbrances
589,532
-
-
589,532
-
-
-
Fair Value Adj. Reserve
-
-
-
-
-
-
-
Civic Center/ Fire Station Construction
Appropriation Reserve
(202,646)
-
209,461
-
-
6,815
-
ReservefarEncumbrances
6,815
-
-
6,815
-
-
-
CIOSA Fund
Appropriation Reserve
2,715,422
120,000
-
-
-
-
2,835,422
Fair Value Adj. Reserve
-
-
-
-
-
-
-
Reserve for Encumbrances
-
-
-
-
-
-
-
Bonita Canyon Development Fund
-
-
-
-
-
-
Appropriation Reserve
60,616
4,000
28,384
-
-
93,000
-
Reserve for Encumbrances
-
-
-
-
-
-
-
Mariners Library Fund
Appropriation Reserve
(2,222,500)
2,100,589
594,251
-
-
472,340
-
Reserve for Encumbrances
472,340
-
-
472,340
-
-
-
Fire Station #7 Fund
Appropriation Reserve
(3,093,569)
1,600,000
8,586,962
-
7,088,562
4,831
Reserve for Encumbrances
7,086,962
-
-
7,086,962
-
Back Bay Science Center Fund
-
-
Appropriation Reserve
(2,063,509)
-
4,126,623
-
6,575,210
-
Reserve for Encumbrances
3,928,887
4,549,624
-
3,928,887
37,528
21
SUMMARY OF ESTIMATED 2006 -07 YEAR END FUND BALANCES
Estimated Estimated Estimated
Actual Estimated Budget Capital Year End
Fund Balance Revenue Transfers Transfers Expenditures Improvements Fund Balance
Fund l Account 200606 2006 -07 In Out 2006.07 2006 -07 2006 -07
SAH Community Center
Appropriation Reserve
(100,859)
100,859
-
-
-
-
-
ReserveforEncumbrances
-
-
-
-
-
-
-
MISC SAH Projects Fund
Appropriation Reserve
(101,704)
650,000
-
-
-
235,696
312,600
Reserve for Encumbrances
-
-
-
-
-
-
-
Newport Bay Dredging Fund
-
-
-
-
-
Permanent Endowment
3,857,000
-
-
-
-
-
3,857,000
Appropriation Reserve
168,602
160,000
-
-
-
-
328,602
Fair Value Adj. Reserve
-
-
-
-
-
-
-
Insurance Reserve Fund
Workers'Compensalion Reserve
7,448,214
3,311,921
-
-
2,418,461
-
8,341,674
Liability Reserve
1,396,042
3,441,197
-
-
2,970,228
-
1,867,011
Fair Value Adj. Reserve
-
-
-
-
-
-
-
Retlree Medical Fund
Operating Fund
3,253,536
420,000
-
-
1,974,956
-
1,698,580
Conversion Fund
2,747,430
212,500
2,500,000
-
-
-
5,459,930
Fair Value Adj. Reserve
-
-
-
-
-
-
-
Compensaled Absence Fund
Appropriation Reserve
1,102,554
2,071,972
-
-
1,206,000
-
1,968,526
Fair Value Adj. Reserve
-
-
-
-
-
-
-
Equipment Fund
Equipment Maintenance
-
1,989,590
335,732
125,000
2,098,990
101,332
-
EquipmentReplacement - Ali Other
7,340,898
2,889,085
1,925,279
460,732
3,864,246
-
7,830,284
Equipment Replacement - PD
1,632,823
979,588
-
-
781,864
-
1,830.547
Fair Value Adj. Reserve
-
-
-
-
-
-
-
Reserve fur Encumbrances
1,925,279
-
-
1,925,279
-
-
-
Water Enterprise Fund
-
17,949,553
5,094,266
1,418,523
16,701,742
4,923,554
-
Water System Reserve
5,176,166
-
669,444
-
-
-
5,845,610
Stabilization Reserve
3,697,261
-
478,175
-
-
-
4,175,436
Future Infrastructure Reserve
1,444,699
-
270,904
1,444,699
-
-
270,904
Fair Value Adj. Reserve
-
-
-
-
-
-
-
Reserve for Encumbrances
3,649,567
3,649,567
13,967,693
17,949,553
6,512,789
6,512,789
16,701,742
4,923,554
10,291,950
Wastewater Enterprise Fund
-
3,471,843
1,479,140
-
2,682,210
2,268,773
-
Wastewater System Reserve
1,590,616
-
-
137,798
-
-
1,452,818
Stabilization Reserve
-
-
-
-
-
-
-
Future Infrastructure Reserve
-
-
-
-
-
-
-
Fair Value Adj. Reserve
-
-
-
-
-
-
-
ReserveforEncumbrances
1,341,342
1,341,342
2,931,958
3,471,843
1,479,140
1,479,140
2,682,210
2,268,773
1,452,818
TOTAL
144,246,659
214,463,243
77,685,997
77,685,997
172,907,113
66.333,313
119,469,476
22
SUMMARY OF ESTIMATED 2007 -08 YEAR END FUND BALANCES
- 146,964,943
Estimated Estimated
Estimated
Estimated Budget Capital
Year End
Fund Balance Revenue Transfers Transfers Expenditures Improvements
Fund Balance
rund I Account 2006 -07 2007 -08 In Out 2007 -08 2007 -08
2007 -08
General Fund
- 146,964,943
9,666,668
10,497,448 138,029,313
8,104,850
-
Contingency Reserve
17,368,974 -
-
- -
-
17,368,974
Stabilization Reserve
- -
-
- -
-
-
Actual Fair Market Value Adj.
- -
-
- -
-
-
Future Fair Market Value Adj.
-
-
- - -
-
-
Appropriations Reserve (operating)
1,818,384 -
3,265,098
- -
-
5,083,482
Appropriations Reserve (capital)
6,642,700 -
-
3,428,950 -
-
3,213,750
Reserve for Inventories
211,746 -
-
- -
-
211,746
Reserve for Prepaid Items
865,350 -
-
- -
-
865,350
Reserve for Encumbrances
- -
-
- -
-
-
Budgeted Program Changes
- -
-
- -
-
-
Affordable Housing Reserve
1,356,420 -
553,000
- -
-
1,909,420
Reserve for Long term receivables
50,000 -
-
- -
-
50,000
Paramedic Program (Hoag)
268,320 -
-
72,000 -
-
196,320
Recreation Instruction Reserve
216,387 -
107,100
- -
-
323,487
Senior Citizen Site
22,830 -
2,000
- -
-
24,830
Park In Lieu Fees
395,644 -
763,020
- -
-
1,158,664
Off Street Parking
91,385 -
9,500
- -
-
100,885
In Lieu Parking Fees
422,969 -
10,000
- -
-
432,969
Neighborhood Enhancement Res. A
185,791 -
28,000
- -
-
213,791
Neighborhood Enhancement Res.B
946,389 -
300,000
- -
105,000
1,141,389
Oceanfront Encroachment
1,056,709 -
190,000
- -
599,100
647,609
Cable Franchise
1,216,400 -
-
100,000 -
-
1,116,400
Reserve for Capital Improvement
14,000,000 -
-
- -
-
14,000,000
Reserve for PERS Rate Changes
5,000,000
-
- - -
-
5,000,000
Reserve for Encumbrances
52,136,398 146,964,943
14,894,386
14,098,398 138,029,313
8,808,950
53,059,066
Ackerman Donation Fund
Appropriations Reserve
-
-
- - -
-
-
AppropriationsReserve - Scholarship
179,792
15,960
- - 5,000
-
190,752
Appropriations Reserve - Hi Tech
-
26,040
- - 19,400
-
6,640
Perm Scholarship Endowment Resen
212,669
-
- - -
-
212,669
Perm Equipment Endowment Resew(
632,007
-
- - -
-
632,007
Fair Value Adj. Reserve
-
-
- - -
-
-
Reserve for Encumbrance
-
-
- - -
-
-
CDBG Fund
Appropriations Reserve
-
447,432
- 15,450 322,482
109,500
-
Reserve for Encumbrance
-
-
- - -
-
-
AQMD Fund
Appropriations Reserve
247,784
104,200
- - 26,415
-
325,569
Reserve for Encumbrance
-
-
- - -
-
-
Asset Forfeiture Fund
Appropriations Reserve
39,556
45,250
- - 78,697
-
6,109
Fair Value Adj. Reserve
-
-
- - -
-
-
Reserve for Encumbrances
-
-
- - -
-
-
SLESF - COPS Fund
44,501
142,100
- - 120,000
-
66,601
Justice Assistance Grant (formerly LLEB(
-
-
- - -
-
Appropriations Reserve
-
-
- - -
-
-
Fair Value Adj. Reserve
-
-
- - -
-
-
State Gas Tax Fund
Appropriations Reserve
2,669,272
1,654,500
- 160,000 -
4,113,900
49,872
Fair Value Adj. Reserve
-
-
- - -
-
-
Reserve for Encumbrances
-
-
- - -
-
-
Traffic Congestion Relief Fund
Appropriations Reserve
17,305
-
- - -
176,000
(158,695)
Fair Value Adj. Reserve
-
-
- - -
-
-
Reserve for Encumbrances
-
-
- - -
-
-
Measure M Fund
Turnback
1,490,465
1,359,774
- - -
2,737,000
113,239
Fair Value Adj. Reserve
-
-
- - -
-
-
Turnback Encumbrances
-
-
- - -
-
-
Compedtive
456,285
400,000
- - -
856,285
-
Competitive Encumbrances
-
-
- - -
-
-
23
SUMMARY OF ESTIMATED 2007 -08 YEAR END FUND BALANCES
Estimated
Estimated
Estimated
Estimated
Budget
Capital
Year End
Fund Balance Revenue Transfers
Transfers Expenditures
Improvements
Fund Balance
Fund /Account 2006 -07 2007 -08 In
Out 2007 -08
2007 -08
2007 -08
AHRP Fund
Appropriations Reserve
-
653,000
-
- -
653,000
-
Reserve for Encumbrances
-
-
-
- -
-
-
Tide and Submerged Land Fund
Appropriation Reserve
1,254,000
9,490,963
-
5,622,474 2,768,489
2,354,000
-
Fair Value Adj. Reserve
-
-
-
- -
-
-
Appropriations Reserve (capital)
-
-
-
- -
-
-
Reserve for Encumbrances
-
-
-
- -
-
Upper Bay Reserve
(255,103)
-
97,206
- -
-
(157,897)
Oil and Gas
200,000
-
40,000
- -
-
240,000
Contributions Fund
Misc Cooperative Projects
(4,913,197)
1,212,484
-
- -
2,799,400
(6,500,113)
Bristol Street Relinquishment
295,871
-
-
- -
100,000
195,871
PCH Relinquishment
3,410,266
-
-
- -
250,000
3,160,266
Environmental Contributions
(3,092,217)
-
-
- -
167,500
(3,259,717)
Reserve for Encumbrances
-
-
-
- -
-
-
Circulation and Transportation Fund
Appropriations Reserve
888,832
455,400
-
80,000 -
1,273,400
(9,168)
Fair Value Adj. Reserve
-
-
-
- -
-
-
Reserve for Encumbrances
-
-
-
- -
-
-
Building Excise Tax Fund
Appropriations Reserve
181,854
160,500
-
- -
340,100
2,254
Fair Value Adj. Reserve
-
-
-
- -
-
-
Reserve for Encumbrances
-
-
-
- -
-
-
Environmental Liability Fund
Appropriation Reserve
2,745,283
471,800
-
- 90,000
635,000
2,492,083
Fair Value Adj. Reserve
-
-
-
- -
-
-
Reserve for Encumbrances
-
-
-
- -
-
-
Oil Spill Remediation Fund
Appropriation Reserve
2,999
5,250
-
- -
-
8,249
Fair Value Adj. Reserve
-
-
-
- -
-
-
Reserve for Encumbrances
-
-
-
- -
-
-
Newport Annexation Funds
Receipt Fund
10,248,000
470,400
-
1,400,000 -
-
9,318,400
Fair Value Adj. Reserve - Receipt
-
-
-
- -
-
-
Allocation Fund
-
-
1,200,000
- 1,200,000
-
-
Fair Value Adj. Reserve- Allocation
-
-
-
- -
-
-
Building Fund
351,915
283,500
-
- -
-
635,415
Fair Value Adj. Reserve- Building
-
-
-
- -
-
-
Reserve for Encumbrances-Building
-
-
-
- -
-
-
Library Debt Service Fund
Appropriation Reserve
-
-
569,730
- 569,730
-
-
Reserve for Debt Service
566,354
-
-
- -
-
566,354
Assessment District Projects
Appropriation Reserve
1,341,282
14,410
-
- -
-
1,355,692
Reserve for Encumbrances
-
-
-
- -
-
-
Fair Value Adj. Reserve
-
-
-
- -
-
-
Civic Center/ Fire Station Construction
Appropriation Reserve
-
-
-
- -
-
-
Reserve for Encumbrances
-
-
-
- -
-
-
CIOSA Fund
Appropriation Reserve
2,835,422
126,000
-
- 270,000
1,078,500
1,612,922
Fair Value Adj. Reserve
-
-
-
- -
-
-
Reserve for Encumbrances
-
-
-
- -
-
-
Bonita Canyon Development Fund
Appropriation Reserve
-
-
-
- -
-
-
Reserve for Encumbrances
-
-
-
- -
-
-
Mariners Library Fund
Appropriation Reserve
-
-
-
- -
-
-
Reserve for Encumbrances
-
-
-
- -
-
-
24
SUMMARY OF ESTIMATED 2007 -08 YEAR END FUND BALANCES
Estimated Estimated
Estimated
Estimated Budget Capital
Year End
Fund Balance Revenue Transfers Transfers Expenditures Improvements
Fund Balance
and /Account 2006 -07 2007 -08 In Out 2007 -08 2007 -08
2007 -08
Fire Station #7
-
Appropriation Reserve
4,831
-
-
-
-
-
4,831
Reserve for Encumbrances
-
-
-
-
-
-
Back Bay Science Center Fund
-
-
-
Appropriation Reserve
37,528
-
-
-
-
37,528
Reserve for Encumbrances
-
-
-
-
-
-
SAH Community Center
-
-
-
-
-
-
-
Appropriation Reserve
-
-
-
-
-
-
-
Reserve for Encumbrances
-
-
-
-
-
-
-
MISC SAH Projects Fund
-
-
-
-
-
-
Permanent Endowment
312,600
7,528,000
-
-
-
7,840,600
-
Appropriation Reserve
-
-
-
-
-
-
-
Newport Bay Dredging Fund
Permanent Endowment
3,857,000
-
-
-
-
3,857,000
Appropriation Reserve
328,602
168,000
-
-
-
496,602
Fair Value Adj. Reserve
-
-
-
-
-
-
Insurance Reserve Fund
Workers' Compensation Reserve
8,341,674
3,388,726
1,500,000
-
2,496,241
-
10,734,159
Liability Reserve
1,867,011
3,376,023
500,000
-
2,950,259
-
2,792,775
Fair Value Adj. Reserve
-
-
-
-
-
-
-
Retiree Medical Fund
Operating Fund
1,698,580
1,470,500
-
-
3,133,000
-
36,080
Conversion Fund
5,459,930
223,125
2,700,000
-
-
-
8,383,055
Fair Value Adj. Reserve
-
-
-
-
-
-
-
Compensated Absence Fund
Appropriation Reserve
1,968,526
2,146,322
-
-
1,206,000
-
2,908,848
Fair Value Adj. Reserve
-
-
-
-
-
-
-
Equipment Fund
Equipment Maintenance
-
2,050,000
-
632
2,049,368
-
-
EquipmentReplacement - All Other
7,830,284
3,072,630
-
125,000
1,954,520
-
8,823,394
Equipment Replacement - PD
1,830,547
960,320
632
-
514,000
-
2,277,499
Fair Value Adj. Reserve
-
-
-
-
-
-
-
Reserve for Encumbrances
-
-
-
-
-
-
-
Water Enterprise Fund
-
18,630,585
124,187
-
16,715,772
2,039,000
-
Water System Reserve
5,845,610
-
-
-
-
-
5,845,610
Stabilization Reserve
4,175,436
-
-
-
-
-
4,175,436
Future Infrastructure Reserve
270,904
-
-
124,187
-
-
146,717
Fair Value Adj. Reserve
-
-
-
-
-
-
-
Reserve for Encumbrances
10,291,950
18,630,585
124,187
124,187
16,715,772
2,039,000
10,167,763
Wastewater Enterprise Fund
-
3,889,514
-
265,625
2,639,889
984,000
-
Wastewater System Reserve
1,452,818
-
-
-
-
-
1,452,818
Stabilization Reserve
-
-
265,625
-
-
-
265,625
Future Infrastructure Reserve
-
-
-
-
-
-
-
Fair Value Adj. Reserve
-
-
-
-
-
-
-
Reserve for Encumbrances
1,452,818
3,889,514
265,625
265,625
2,639,889
984,000
1,718,443
TOTAL
119,469,476
211,407,651
21,891,766
21,891,766
177,158,575
37,316,135
116,402,417
25
2007 -08 FUND TRANSFERS - ALL FUNDS
Transfer In (From General Fund Reserves):
Current Year Operations $
Contingency Reserve
Actual Fair Market Value Adj.
Appropriations Reserve (operating)
Transfer In (From Current Year Operations):
Appropriations Reserve (capital)
Paramedic Program (Hoag)
Recreation Instruction Reserve
Senior Citizen Site
Park In Lieu Fees
Off Street Parking
In Lieu Parking Fees
Neighborhood Enhancement Res. A
Neighborhood Enhancement Res. B
Oceanfront Encroachment
Affordable Housing
Reserve for Capital Improvement
Reserve for PIERS Rate Changes
Transfer In (From Other Funds):
Gas Tax Fund
Tidelands Fund
CDBG Fund
AQMD Fund
Circulation & Transportation Fund
Equipment Maintenance Fund
3,600,950
3,265,098
107,100
2,000
763,020
9,500
10,000
28,000
300,000
190,000
553,000
160,000
5,485,268
15,450
:r r19
Equipment Replacement Fund 125,000
Newport Annexation Funds 200,000
Total Transfers In $ 14,894,386
eneral Fund
Transfer Out (To General Fund Reserves):
Current Year Operations $
Contingency Reserve
Actual Fair Market Value Adj.
Appropriations Reserve (operating)
Transfer Out (To Current Year Operations):
Appropriations Reserve (capital)
Encumbrances
Unrealized Events Impacting Budget
Paramedic Program (Hoag)
Recreation Instruction Reserve
Senior Citizen Site
Park In Lieu Fees
Off Street Parking
In Lieu Parking Fees
Neighborhood Enhancement Res. A
Neighborhood Enhancement Res. B
Cable Franchise
Reserve for Capital Improvement
Transfer Out (To Other Funds):
Library Debt Service Fund
Retiree Medical Fund- Operating
Retiree Medical Fund- Conversion
General Liability Fund
Workers Compensation Fund
5,227,718
3,428,950
72,000
100,000
569,730
2,700,000
500,000
1,500,000
Total Transfers Out $ 14,098,398
Ackerman Donation Fund Ackerman Donation Fund
Transfer In (From): Transfer Out (To):
Appropriation Reserve $ - Fund Balance $ -
Total Transfers In $ - Total Transfers Out $ -
Transfer In (From):
Reserve for Encumbrance $
Total Transfers In $ -
Transfer Out (To):
General Fund $ 15,450
Appropriation Reserve -
Total Transfers Out $ 15,450
AQMD Fund AQMD Fund
Transfer In (From): Transfer Out (To):
$ - General Fund $ -
Total Transfers In $ - Total Transfers Out $ -
26
2007 -08 FUND TRANSFERS - ALL FUNDS
Asset Forfeiture Asset Forfeiture
Transfer In (From): Transfer Out (To):
Reserve for Encumbrance $ - Appropriations Reserve $ -
Total Transfers In $ - Total Transfers Out $ -
State Gas Tax Fund State Gas Tax Fund
Transfer In (From): Transfer Out (To):
Reserve for Encumbrance $ - General Fund $ 160,000
Appropriation Reserve -
Total Transfers In $ - Total Transfers Out $ 160,000
Traffic Congestion Relief Fd. Traffic Congestion Relief Fd.
Transfer In (From): Transfer Out (To):
Fund Balance $ - Appropriation Reserve $ -
Total Transfers In $ - Total Transfers Out $ -
Measure M Funds
Measure M Funds
Transfer In (From):
Transfer Out (To):
Turnback Encumbrances $
-
Turnback Fund Balance $ -
Competitive Encumbrances
-
Competitive Fund Balance -
Total Transfers In $
-
Total Transfers Out $ -
Bikes & Trailways (SB821) Bikes & Trailways (SB821)
Transfer In (From): Transfer Out (To):
Fund Balance $ - Appropriation Reserve $ -
Reserve for Encumbrance -
Total Transfers In $ - Total Transfers Out $ -
AHRP Fund
AHRP Fund
Transfer In (From):
Transfer Out (To):
Fund Balance $
-
Fund Balance $ -
Total Transfers In $
-
Total Transfers Out $ -
Tidelands Fund Tidelands Fund
Transfer In (From): Transfer Out (To):
Reserve for Encumbrances $ - General Fund $ 5,485,268
Tidelands Operations 137,206 Appropriation Reserve -
Appropriation Reserve - Upper Bay Reserve 97,206
Oil & Gas Reserve 40,000
Total Transfers In $ 137,206 Total Transfers Out $ 5,622,474
Contributions Fund Contributions Fund
Transfer In (From): Transfer Out (To):
Reserve for Encumbrances $ - Appropriation Reserve $ -
Total Transfers In $ - Total Transfers Out $ -
27
2007 -08 FUND TRANSFERS - ALL FUNDS
Circulation Fund Circulation Fund
Transfer In (From): Transfer Out (To):
Fund Balance $ - General Fund $ 80,000
Reserve for Encumbrance - Ciosa Fund -
Total Transfers In $ - Total Transfers Out $ 80,000
Building Excise Tax Fund
Building Excise Tax Fund
Transfer In (From):
Transfer Out (To):
Appropriations Reserve $
-
Reserve for Encumbrances $ -
Reserve for Encumbrances
-
Appropriation Reserve -
Fund Balance
-
Fund Balance -
TotalTransfersln $
-
Total Transfers Out $ -
Environmental Liability Fund Environmental Liability Fund
Transfer In (From): Transfer Out (To):
Appropriation Reserve $ - Fund Balance $ -
Total Transfers In $ - Total Transfers Out $ -
Oil Spill Remediation Fund Oil Spill Remediation Fund
Transfer In (From): Transfer Out (To):
Reserve for Encumbrances $ - Appropriation Reserve $ -
Total Transfers In $ - Total Transfers Out $ -
Newport Annexation Funds
Newport Annexation Funds
Transfer In (From):
Transfer Out (To):
Receipt Fund $
-
General Fund $ 200,000
Allocation Fund
1,200,000
Receipt Fund 1,200,000
Building Fund Encumbrances
-
Building Fund Appropriations -
Total Transfers In $
1,200,000
Total Transfers Out $ 1,400,000
Library Debt Service Fund Library Debt Service Fund
Transfer In (From): Transfer Out (To):
General Fund $ 569,730 Fund Balance $ -
Total Transfers In $ 569,730 Total Transfers Out $ -
Assessment Districts Fund Assessment Districts Fund
Transfer In (From): Transfer Out (To):
Reserve for Encumbrance $ - Appropriation Reserve $ -
Fund Balance - Fund Balance -
Total Transfers In $ - Total Transfers Out $ -
CIOSA Fund CIOSA Fund
Transfer In (From): Transfer Out (To):
Fund Balance $ - Appropriation Reserve $ -
Total Transfers In $ - Total Transfers Out $ -
a.7
2007 -08 FUND TRANSFERS - ALL FUNDS
Mariners Library Fund Mariners Library Fund
Transfer In (From): Transfer Out (To):
Reserve for Encumbrances $ - Appropriation Reserve $ -
Total Transfers In $ - Total Transfers Out $ -
Fire Station # 7 Fire Station # 7
Transfer In (From): Transfer Out (To):
Reserve for Encumbrances $ -
General Fund - Appropriation Reserve $ -
Total Transfers In $ - Total Transfers Out $ -
Retiree Medical Fund Retiree Medical Fund
Transfer In (From): Transfer Out (To):
Fund Balance $ 2,700,000 Appropriation Reserve $ -
Reserve for Encumbrance -
Total Transfers In $ 2,700,000 Total Transfers Out $ -
Insurance Reserve Fund
Insurance Reserve Fund
Transfer In (From):
Transfer In (From):
Transfer Out (To):
Transfer Out (To):
Fund Balance
$
2,000,000
Appropriation Reserve
$ -
Water Operations
$
-
Reserve for Encumbrance
-
Total Transfers In
$
2,000,000
Total Transfers Out
$ -
-
Future Infrastructure Reserve
124,187
Stabilization Reserve
Equipment Fund
-
Water Fund Balance
Equipment Fund
Transfer In (From):
$
124,187
Transfer Out (To):
$
Equipment Maintenance
$
632
General Fund Overhead
$ 632
Reserve for Encumbrance
-
Equipment Replacement
125,000
Total Transfers In
$
632
Total Transfers Out
$ 125,632
Transfer In (From):
Water Enterprise Fund
Water Enterprise Fund
Transfer In (From):
Transfer Out (To):
Operations
$
124,187
Water Operations
$
-
Reserve for Encumbrances
-
Water System Reserve
-
Future Infrastructure Reserve
-
Future Infrastructure Reserve
124,187
Stabilization Reserve
-
Water Fund Balance
Total Transfers In
$
124,187
Total Transfers Out
$
124,187
Wastewater Enterprise Fund
Wastewater Enterprise Fund
Transfer In (From):
Transfer Out (To):
Wastewater System Reserve
$
265,625
Wastewater Operations
$
265,625
Reserve for Encumbrance
-
Reserve for Encumbrance
-
Future Infrastructure Reserve
-
Wastewater Infrastructure. Rsv.
-
Stabilization Reserve
-
Total Transfers In
$
265,625
Total Transfers Out
$
265,625
TOTAL TRANSFERS $ ITOTAL TRANSFERS $ 21 891 766
29
C
9
4M
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TW40
CITY COUNCIL
o�
v
32
To protect Newport Beach's unique quality of life for the full enjoyment
of its residents, visitors, and business owners and to direct the
efficient and effective delivery of municipal services.
The Newport Beach City Council
Newport Beach is a "charter city," which, among other things, means that Newport Beach's
voters have approved a Charter that governs many city operations. The Charter also sets forth
a governing board of seven
members. The seven members
of the Newport Beach City Council
each represent and reside in one
of seven districts. But because
Council Members are elected "at
large" by all of Newport Beach's
registered voters, they have a
broader constituency, too.
Being a council member is
technically just a part-time job,
but the time commitment -- from
early morning meetings with
residents to special committee assignments to Council meetings that can run late into the night
-- often takes up 40+ hours a week.
The Charter also directs the City Council to hire a "chief executive officer'— called the City Manager
— to run the day -to -day operations of the City "corporation." The City Manager, the City Clerk, and
the City Attorney are the only city employees
directly hired by the City Council — the City
Manager oversees the hiring of everyone else.
The City Council has two primary tools to
implement policy — the City's yearly budget and
the various priorities that the Council sets at its
twice -a -month public meetings. For the year
2007 -08, the Council expects to follow these
efforts (among others) closely:
2007 -08 Council Efforts
• Implement the recently- approved General Plan for the community.
• Effectively address traffic, so that residents, visitors, and business owners can travel
within the community safely and spend minimal time in traffic.
• Implement a detailed Master Facilities Program, including City Hall, the OASIS Senior
Center, Fire Stations, and other city facilities so that the City can comprehensively
see and address its facilities' needs over the next 20+ years.
• Develop even stronger relationships with "Corridor Cities" (other cities impacted by
John Wayne Airport both on the departure side and the approach side) so that we
can keep JWA within its current curfew and flight restrictions.
• Develop a Water Quality Master Plan to protect the Upper and Lower Newport Bay
from sedimentation and pollution, to better conserve water, and to keep our ocean
beaches and near -shore zone free of contaminants.
• Gain more local control to limit the adverse impacts associated with the
overconcentration of residential treatment homes and congregate living facilities.
• Complete planning for and starting construction of new parks, such as Marina Park,
Sunset Ridge Park, Mesa -Birch Park, Coastal Peak Park and Newport Center
Park.
• Encourage broad community and City use of newly opened facilities, such as the
Back Bay Science Center, the Santa Ana Heights Fire Station, and the Newport
Coast Community Center.
The City Council's budget includes the costs of the City's membership in key associations that
work towards common municipal purposes, like the League of California Cities and the Southern
California Association of Governments (SCAG).
2004 -05 2005 -06 2006 -07 2007 -08
Actual* Actual* Estimated* Proposed*
Salaries and Benefits
$
239,265
$
258,922
$
169,981 $
244,778
Maintenance and Operations
$
1,390,787
$
1,791,445
$
904,893 $
935,919
Capital Outlay
$
8,869
$
3,419
$
- $
7,000
Total
$
1,638,921
$
2,053,786
$
1,074,874 $
1,187,697
* Includes Spheres Issues and Centennial expenditures
o
ti a
�a
A
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O
9191
CITY CLERK
To provide service to the Mayor and City Council, City Manager,
c administrative departments, and the public in a courteous, timely,
y and efficient manner while remaining neutral and impartial.
To improve the administration of the affairs of the City Clerk's office
consistent with applicable laws and through sound management practices
to provide easier access to local government and
fulfill our responsibility to the residents of Newport Beach.
The City Clerk attends all meetings of the City Council and serves as Clerk of the Council. Some
of the primary responsibilities performed by the City Clerk are:
• Prepares and publishes agendas for City Council meetings in accordance with the legal requirements
for public meetings.
• Records and maintains the proceedings of the City Council meetings, including an index of the City
Council actions.
• Maintains official records associated with formal actions of the City Council, assists the public with
research and retrieval of information and retrieves and certifies public documents.
• Maintains the document imaging system in order to reduce staff time in searching, retrieving and
copying records, as well as providing storage for permanent records.
• Provides staff and the residents with online access to the Newport Beach Municipal Code; Council
Policy Manual; Boards, Commissions and Committees Manual; application blanks and vacancy
notices for Boards and Commissions; City Council agendas, minutes, and staff reports.
• Assists the public in understanding and participating in the decision and policy making process.
• Maintains Appointive List as required under Maddy Appointive List Act (for Boards and
Commissions).
• Processes legal publications, postings and notices.
• Ensures accurate codification of City- adopted ordinances.
• Acts as Filing Officer for the Political Reform Act of 1974 regulations (campaign disclosure forms
and statements of economic interest).
• Receives and opens bids for City projects.
• Receives and processes claims for damages and, summons and complaints against the City.
• Serves as the City's Election Official and receives petitions relating to initiatives, referendums or
recalls.
• Serves as custodian of the official records of the City and maintains custody of the City Seal.
• Executes all ordinances, resolutions and contracts.
• Administers oaths, affirmations and acknowledgements.
• Processes passport applications in accordance with U.S. Department of State procedures.
34
Welcome to the Live and Archived Video web page.....
Note:
To browse Council Meeting archives of 2006 - click here
To browse Council Meeting archives of 2005 - click here
Upcoming Events
Name Date
City Council Study Session March 13, 2007 - 4:00 PM Agenda
City Council Regular Meeting March 13, 2007 - 7:00 PM Agenda
Archived Videos
Search Archives
2004 -2005
MSS Feetls
2006 -2007
326,349
Actual
Actual
Estimated
Subscribe to Archives via
NSS
eu, navo� na4
23
Council Meetings, Special or Adjourned
Feed
27
22
Resolutions adopted
78
itleo J
AAerd J
Minutes)
27
26
What are RES Feeds?
Municipal elections
Name
Date
1
Registered voters
60,529
City Council Study Session
February 27, 2007
Agenda
Minutes
Video
City Couneil Regular Meeting
February 27, 2007
Agenda
Minutes
Video
City Council Study Session
February 13, 2007
Agenda
Minutes
Video
City Council Regular Meeting
February 13, 2007
Agenda
Minutes
Video
Ctv Council Study Session
January 23, 2007
Agenda
iM nutes
Video
City Council Regular Me itina
January 23, 2007
Agenda
Minutes
Vide
City Couneil Study Session
]anuary 9, 2007
Aoentla
Minutes
Video
City Coun Cl Regular Meetng.
January 9, 2007
Agenda
Minutes
Video
Delivering public access to local government
by streaming public meetings.
Service Indicators
2004 -2005
2005 -2006
2006 -2007
326,349
Actual
Actual
Estimated
Council Meetings, Regular
23
23
23
Council Meetings, Special or Adjourned
23
27
22
Resolutions adopted
78
89
80
Ordinances adopted
27
26
30
Municipal elections
1
0
1
Registered voters
60,529
60,373
59,885
Municipal Code Supplement pages distributed
52,479
56,595
55,000
Claims /Summons and Complaints processed
169
117
127
Contracts /Agreements processed
113
115
120
Notices of Completion /Release Bonds
17
20
14
Documents processed to Orange County Recorder
17
31
20
Pages scanned into Document Imaging System
80,000
50,000
50,000
Passports processed
655
457
400
2007 -2008
Projected
2004 -05 2005 -06 2006 -07 2007 -08
Actual Actual Estimated Proposed
23
25
80
30
0
60,000
55,000
150
120
15
20
50,000
400
Salaries and Benefits
$
288,860
$
326,349
$
232,015
$
327,976
Maintenance and Operations
$
34,089
$
97,730
$
112,875
$
54,804
Capital Outlay
$
2,901
$
-
$
9,062
$
-
Total
$
325,850
$
424,079
$
353,952
$
382,780
Elections
$
49,606
$
-
$
100,000
$
-
Grand Total
$
375,456
424,079
$
453,952
382,780
m�
A
n
to
Aa
� O
A
O
s
35
CITY MANAGER
o �
v
H
3 G
To maintain the delivery of high quality municipal services and
legislate and manage the affairs of the city according to law and
for the benefit of residents and property owners.
The City Manager
The City Council appoints the City Manager to make sure the
City's operations run effectively. The City's Charter prescribes
specific duties to the City Manager, including the power to appoint
department directors and to develop the annual budget. The Charter
also directs the City Manager to report back to the Council each
year on the fiscal operations of the City, to see that the City follows
the laws of the Charter and the State of California, and more. The
City Manager implements the direction of the City Council to ensure
that the priorities and interests of the Council are achieved.
In addition to attending Council meetings, the City Manager
convenes meetings of the City's Management Team (department
directors) and of individuals and groups throughout the City. Other
topics more regional in nature are also on the City Manager's plate. The City Manager's Office
monitors the political and economic environment outside the city to ensure that outside forces do not
compromise Newport Beach's quality of life, public safety system, or its finances. In 2007 -08, these
external issues may include:
• Actions at the State level that might impact City finances.
Changes in the local, state, and national economy that may also change the City's
revenue base.
Positioning the City to effectively compete for State grant funding for new projects,
especially those that address dredging, toxic hot spots, and other costly water quality
obligations.
The City Manager's budget includes three key divisions — Code & Water Quality Enforcement, Harbor
Resources and Public Information. Because the strategic issues supervised by the City Manager's
Office can require the use of specialized expertise, this budget also includes funds for short-term
contracts with consultants.
Code & Water Quality Enforcement Division
The City's Code and Water Quality Enforcement Division is one of the most well-respected in the region.
Code & Water Quality Enforcement has two major emphases: protecting the community's quality of life
via the enforcement of the municipal code (regarding noise, nuisances, signage, encroachments, and
more) and protecting Newport Bay and our ocean shoreline by implementing State and Federal clean
water requirements. The Division will continue its proactive, face -to -face education and enforcement
efforts regarding "best management practices" (BMPs) for water conservation and water quality.
Public Information Division
The Public Information Division will focus implementing new public, governmental, and educational
( "PEG ") programming opportunities that resulted from two major agreements or settlements with local
cable companies in 2006 -07. These efforts brought more than $1,000,000 to the City on a one -time
basis and up to $90,000 annually for community programming.
Harbor Resources Division
More than 1,200 individuals and businesses operate a pier, marina, or mooring in Newport Harbor and
therefore require a formal permit to access and use this resource. Habitat protection, water quality
improvement, and the myriad regulations that direct the City to comply with the federal Clean Water
Act, the Coastal Act, and the City's Harbor Policy demand specific attention by the Harbor Resources
staff. The Harbor Commission, a seven - member board appointed directly by the City Council -- plays
an important role here, too. The Harbor Resources Division includes parking lot administration and
an innovative tidepool protection program. Harbor Resources is housed at the Balboa Yacht Basin
off of Harbor Island Drive.
Service Indicators
2004 -05
2005 -06
2006 -07
2007 -08
Dredging Permits Reviewed
Actual
Actual
Estimated
Projected
Code & Water Quality Enforcement Division
25
21
20
20
Administrative Citations Issued
275
285
256
250
Educational Contacts Made
1,800
1,850
1,900
2,000
Water Quality Education Impressions
670,000
680,000
700,000
720,000
Public Information Division
126,000
119,000
130,000
135,000
Time Warner /Cox Monthly Half Hour Shows
96
98
68
108
Outside Government Programming
39
48
Special Events Cable Programming
4
8
12
12
Quarterly Newsletter "City Scenes"
4
4
2
W
News Releases
21
19
21
24
Web Site Responses (www.nbcitynews.com)
104
65
16
60
Web Streaming of NBTV News Programs
-
36
40
72
Info -by -email Notices
16
9
11
24
Public Education Tours /Speakers Bureau
2
2
4
7
Harbor Resources Division
Dock Construction Permits Reviewed
100
122
170
190
Dredging Permits Reviewed
35
25
30
40
Fire Code Compliance Citations Issued
25
21
20
20
Other Harbor Compliance Warnings and
$
1,203,669
Capital Outlay
$
Citations
15
15
15
15
Number of Vehicles at Balboa Pier Lot
227,000
229,000
230,000
230,000
Number of Vehicles at CDM Lot
126,000
119,000
130,000
135,000
Number of Students Trained /Educated and
Public Contacts via Marine Life Refuge
Program
73,000
74,200
76,000
80,000
Number of Classes Coordinated by MLR
Program
271
245
275
300
* Newsletter discontinued 1/2007
2004 -05 2005 -06 2006 -07 2007 -08
Actual Actual Estimated Proposed
Salaries and Benefits
$
2,066,053
$
2,288,055
$
1,831,162
$
2,709,096
Maintenance and Operations
$
663,611
$
1,457,640
$
719,677
$
1,203,669
Capital Outlay
$
24,860
$
36,368
$
7,060
$
38,000
Total
$
2,754,524
$
3,782,063
$
2,557,899
$
3,950,765
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HUMAN RESOURCES
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To increase the City's effectiveness through recruitment and retention of
employees committed to providing quality public service that
meets the goals and objectives set by the City Council and the City Manager.
We further this mission by the development of systems which recognize
the value of each employee and provide the necessary tools to recruit,
retain, and develop a workforce capable of high performance.
We accomplish this mission by having a "customer first" attitude;
demonstrating a spirit of cooperation; being a trusted and valued source of
human resources knowledge and expertise, and by being responsive to
and aware of internal and external customer needs.
Department Highlights for FY 2006 -07
This year, City -wide recruitments in all departments continue to increase significantly. The
recruitment process provides reliability and validity in our selection of employees and assists us
in defending our hiring decisions. We have been developing more job - related written and
performance tests, as well as providing additional involvement in the oral board process to
ensure objective evaluation and consistency among interviews. Our recruitment procedures
provide us with the job - related tools needed to hire the best candidate for the position based on
needs and requirements of each department.
To better serve our customers and work more efficiently, we fully implemented the new NEOGOV
software program which provides on -line recruitment, selection, applicant tracking, reporting and
analysis. This program maximizes efficiency
and provides measurable results. It has saved
us expense and time by allowing the review of
applications on -line and eliminating endless
copying of applications. Our on -line application
percentage is approximately 99 %, which allows
most applicants to be notified by email; thereby
eliminating most of our postage costs. NEOGOV
also provides statistical reports that are readily
available at each step in the recruitment process
and allows candidates access to their standing
in the process.
To address the immediate needs of support staff, we now have a 'clerical pool' with on -call
applicants we can request on a temporary basis to fill vacancies due to medical leaves or
emergencies. In addition, we have been able to use temporary Human Resources Analysts and
clerical support to provide faster service to the departments, so that they can fill their vacancies and
provide better customer service to the citizens that we serve.
This year, we also worked closely with Administrative Services to implement a new on -line benefit
open enrollment. This is part of the new Employee Access Center (EAC) where employees can
access all of their information and input changes as needed. The EAC also provides a total benefit
statement showing the individual cost of all benefits for each employee. The on -line benefit open
enrollment feature in the EAC allowed us to provide better benefit services to our employees while
reducing postage and additional staff -time costs.
Last year was the culmination of
several years of hard work from a
City -wide committee of employees
whose goal was to develop a new
Employee Performance Evaluation
Program. The Human Resources
Manager chaired the committee,
which consisted of employees from
various departments. Together
they developed a new performance
evaluation form and guidebook so
that all employees in the City are
evaluated consistently, using the
same forms and guidebook. This
year, we implemented the new performance evaluation system on -line and developed a notification
system for departments as a reminder of upcoming and past due evaluations.
Human Resources Administration /Operations
Staffing: 5.5 plus 1.5 FTE
$1,317,835
Labor Relations /MOU Administration
Personnel Policies
Deferred Compensation
Civil Service Commission Support
City Employee Activities & Events
City Telephone Directory
Employee Identification Cards & Parking Permits
Employment Verifications
Personnel Action Form Processing
Changes of Addresses
Front Office and Public Counter Service
Employee /Labor Relations
City -Wide Training
Recruitment/Selection
Classification/Compensation
PERS /PARS Assistance
Tuition Reimbursement
Exit Interviews
Unemployment Administration
Grievances & Disciplines
Records Management
Risk Management
Staffing: 3.5
General Liability
Workers' Compensation Claims Administration
Disability Benefits
Employee Health Fair
Employee Assistance Program
Employee Fitness Center Administration
Pre - employment Physical Exams
Benefits Administration
DOT Drug Program
FMLA/HIPPA Compliance
Safety Program
DMV Employee Pull Program
Retiree Medical Insurance
New Employee Orientation
Disability Retirements
Contract Review & Insurance Compliance
Insurance Procurement
Special Event Review
Loss Control
Advisory Services
Employee & Retirement Counseling
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Human Resources Objectives FY 2007 -2008
• Develop quarterly new employee City -wide orientation program
• Develop, train, and implement new Administrative
Procedures
• Revise and improve the City's Safety and Accident program
and procedures
• Develop RFP and conduct Risk Management Audit
• Develop and implement City -wide supervisory training
• Update Employee Policy Manual
Budget Highlights
The HR Department will continue to provide the tools and
training needed to keep current with Human Resources - related laws and practices. Automating
processes and developing procedures for City -wide consistency is a high priority, along with City-
wide training and developing a strong safety program for all employees.
2004 -05 2005 -06 2006 -07 2007 -08
Actual Actual Estimated Proposed
Salaries and Benefits
$
856,861
$
962,811
$
798,140
$
1,160,270
Maintenance and Operations
$
421,983
$
582,767
$
371,178
$
663,660
Capital Outlay
$
9,364
$
10,152
$
9,440
$
8,000
Total
$
1,288,208
$
1,555,730
$
1,178,758
$
1,831,930
Service Indicators
2004 -2005
2005 -2006
2006 -2007
2007 -2008
Actual
Actual
Estimated
Projected
Recruitments
67
88
110
120
Firefighter Pre - Employment Process
15
25
15
25
Tuition Reimbursements
153
165
184
200
Unemployment Claims
16
20
21
21
Personnel Action Forms
1,256
1,488
1,489
1,520
Classification /Compensation Studies
38
40
20
22
Surveys for other agencies
168
180
189
189
PERS /PARS Issues
98
105
110
110
New Hire Fingerprints entered
368
384
449
470
Trainings Conducted
13
27
25
30
Contract Negotiations meetings
40
20
50
30
Employee Relations Matters
26
30
35
40
Benefit Forms Processed Actives & Retirees
728
926
1,386
1,665
General Liability Claims
77
45
116
105
Workers' Compensation & Disability Claims
126
133
191
173
Industrial Disability Retirements Processed
3
3
9
6
New Employee Orientations Conducted
35
69
88
105
Part-time hires
51
140
150
165
500
450
400
350
300
250
200
150
100
50
n
Hecruitm en is Firefighter Pro- Fingerprints PT Hires
Employment
Recruiting
Tuition Unemployment PHFS Cla —Comp Agency Snrvcys PERSIPARS TNnings Cast ro.! Employee
Reimbursements Claims Slutlies Issues Conducted Negotiations Relations Matters
Benefit FormsGeneral Liability Workers' Industrial
Processed Claims Compensation Disability
& Disability Retirements
Claims
10 2006 -07 Projected ■ 2007 -08 Estimated
Risk
Management
41
CITY ATTORNEY
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To represent and /or advise
City Council, Boards and Commissions, and City Staff
with respect to all legal matters
pertaining to the City
Primary Goals
• To maintain an accessible attorney staff and provide timely responses to formal and
informal requests for legal advice.
• To work with other City department heads in developing legal strategies for
implementing Council goals, identifying legal issues to surrounding community
development proposals and responding to community concerns about traffic and
quality of life.
• To work with Risk Management to provide effective legal counsel to represent and
appear for the City in all legal actions, or proceedings including defense of tort liability
claims and enforcement of City codes, rules and regulations.
• To be proactive to limit City liability and to present reasonable and cost effective
solutions to legal problems without compromising the interests of the City, its officers,
or employees.
Service Indicators
Requests for Opinions /Advice (In- House)
Council, Board, and Commission Meetings
Preparation /Review of Contracts, MOLls, Agreements
Litigation Caseload
Code Enforcement Caseload
Development/review of Resolutions and Ordinances
Court and Hearing Appearances
Public Assistance (phone or in person, by attorney or
support staff)
Legislative Advocacies
Public Records Act Requests
2004 -05
2005 -06
2006 -07
2007 -08
Actual
Actual
Estimated
Projected
5,500
5,500
6,000
6,000
100
100
100
100
300
400
500
500
50
50
25
5
80
80
70
50
85
85
100
100
80
80
40
10
7,200
7,200
7,000
7,200
20
20
20
20
40
60
70
80
One City Attorney
One Assistant City Attorney
One Administrative Assistant to the City Attorney
One Part-Time Office Assistant
Two Part-Time Deputy City Attorneys
One Part-Time Paralegal
Department Functions
The City Attorney acts as the legal advisor and counsel for the City Council, City Boards
and Commissions, City Manager, and all City Departments. Some of the primary functions
of this office are to:
• Render legal opinions and advice to City Council and City staff.
• Review and /or prepare proposed contracts, bond financing papers, and insurance
requirements.
• Monitor, control, defend against liability claims and lawsuits, enforce Municipal Code.
• Attend meetings of the City Council and Planning Commission, as well as other boards,
committees, and commissions as required and render legal advice on agenda items and
open meeting laws.
• Prepare, review drafts, and assist in the negotiation of agreements to which the City is a
party.
• Draft and analyze, support legislative efforts necessary to achieve City Council goals.
• Prepare or review ordinances, resolutions, deeds, pleadings, and other legal documents.
• Appear before courts and administrative tribunals to represent the City's interests in
regulatory and personnel hearings and appeals.
2004 -05 2005 -06 2006 -07 2007 -08
Actual Actual Estimated Proposed
Salaries and Benefits
$
649,068
$
831,051
$
624,136
$
820,204
Maintenance and Operations
$
312,857
$
187,002
$
362,971
$
238,305
Capital Outlay
$
8,548
$
2,067
$
5,506
$
4,000
Total
$
970,473
$
1,020,120
$
992,613
$
1,062,509
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ADMINISTRATIVE SERVICES
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To provide the highest quality Information Technology Services,
Financial Management, and a variety of Support Services
for City Officials, the Public, and Other Departments
The Organization
The Administrative Services Department is a composite organization that performs a diverse
collection of financial and technological services. The Resource Management Division is the
executive division of the Department that oversees four functional divisions: Fiscal Services,
Information Technology, Revenue, and Accounting. On the surface, our primary purpose is to
provide financial and information technology services to the frontline public serving departments.
However, we are also charged with the most paramount objective of a public agency; that is to
provide prudent custodial services of publicly entrusted resources. Treasury, Debt Management,
Budgeting, Internal Control, Property Control, Purchasing, and Annual Financial Reporting are
all examples of Administrative Services' responsibility to be the financial steward for the entire
organization.
Although many of the services provided by the Department, including payroll, accounts payable,
print shop /mail room, purchasing /warehousing, and IT, are provided in support of other City
Departments, in some cases the Department serves the public directly. Examples of services
provided directly to the public by the Department include: licensing, cashiering, water billing and
maintenance of the City's Web Site.
Accounting
Staffing: 8 plus 1.5 FTE
$1,051,469
Information Technology
Staffing: 17 plus .5 FTE
$2,722,902
Mission and Goals
Fiscal Services
Staffing: 16 plus 2.82 FTE
$1,754,479
Resource Management
Staffing: 3
$500,362
TOTAL $7,449,877
56 Positions, plus 6.42 FTE
Revenue
Staffing: 12 plus 1.6 FTE
$1,420,665
The Department's Mission and day -to -day activities cover a wide range of functions for the City.
The Department's customers consist of a large number of members of the public, as well as every
department in the City. A necessary function of the organization is to impose structure and control
on a variety of procedures, such as budgeting, purchasing, vendor payables, property control,
travel claims, and employee reimbursements. However, it is important for the Department's energy
to focus on customer service and innovation, rather than on enforcing restrictions, in the process
of achieving the Department's primary goals:
• To provide efficient and secure cash management and investment service, emphasizing
safety, liquidity, and yield, in that order.
• To consolidate, develop, and maintain a dynamic, progressive, service oriented
Information Technology System for the City. This includes hardware, software, and
networking. It encompasses PC operations, Citywide enterprise database applications,
the Geographic Information System, and Telecommunications support.
• To maintain functional and cost effective payroll and benefit services.
• To develop and maintain a revenue structure, including tax based revenues, fees, and
charges, which is fair, equitable, and efficient.
• To provide appropriate municipal licensing and regulatory services as directed.
• To develop, operate, and maintain reliable and responsive accounts payable and
municipal billing /receivables systems.
• To provide thorough, accurate, timely, and award -worthy accounting and financial
reporting.
• To provide responsive and cost effective centralized purchasing, contract administration,
and fixed asset tracking services.
• To insure security of City assets through an effective internal control program, as well as
property control, warehouse, and property disposal systems.
• To provide highly responsive and cost effective printing, duplicating, and postal services
for all City Departments.
• To provide a work environment which encourages an innovative spirit, a customer service
orientation, and a strong sense of responsibility by Department employees.
• To help ensure coverage of all functions by a dedicated work force through increased
cross - training and other appropriate measures.
• To develop and maintain the City's facility financing plan.
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2004 -05
2005 -06
2006 -07
2007 -08
Actual
Actual
Estimated
Proposed
Salaries and Benefits
$
4,391,990
$
5,209,234
$
4,088,621
$
5,848,508
Maintenance and Operations
$
1,057,513
$
992,121
$
788,797
$
1,208,450
Capital Equipment
$
205,986
$
386,101
$
297,018
$
392,919
Total
$
5,655,489
$
6,587,456
$
5,174,436
$
7,449,877
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ADMINISTRATIVE SERVICES (Continued)
Financial Services
Every budgetary Division of the Department provides financial services in one capacity or another.
Three Divisions composed of Fiscal Services, Revenue, and Accounting, are the primary points
of contact for our customers, while the Resource Management Division provides the executive,
administrative, and overall coordination of the Department as a whole. The core financial
services include licensing, revenue development, tax administration, cashiering, treasury, billing,
purchasing, accounts payable, payroll, inventory, fixed assets, budgeting, accounting, internal
control, financial reporting, and audit coordination. These vital services support the operations of
all frontline departments providing this City's broad scope of Municipal Services.
Beyond the basic financial services, the Department also provides financial planning services that
are critical to the City's financial stability and, ultimately, the City's ability to provide and maintain
the high quality of municipal services our residents have grown to expect. Departmental personnel
assist other departments in budgeting, analyzing, and financing major equipment acquisitions
and /or infrastructure improvements. Departmental personnel also manage debt financing levels
appropriately, balancing the financial burden across the service life of the improvements.
The Fiscal Services Division is now the largest in the Department composed of:
• Central Cashiering
• Accounts Payable
• Print Shop Multigraphics
• Mail Room and Remittance Processing
• Purchasing and Central Warehouse operations
• Parking Meter Management.
Fiscal Sery ices is a diverse Division
of twenty full and part -time employees
with primary support functions for the
Administrative Services Department and
the entire organization. The Division's
activities include contract administration,
purchasing card program, encumbrances
and payments processing, and the purchase
of materials, equipment, and services for all
City Departments. The Central Warehouse,
located at the Corporation Yard is responsible
for control management of inventory supplies
used by numerous field crews of multiple
departments. The Warehouse also assists
in property control management and the
disposal of surplus equipment. Central
Cashiering processes all of the payments made to the City through a multitude of billing systems.
In addition, Central Cashiering handles incoming telephone calls and difficult customer service
situations. The Print Shop produces thousands of duplicating and multigraphics jobs for an
extensive number of customers and works diligently to produce the City's Comprehensive Annual
Financial Report (CAFR) and both the Preliminary and Final Budget book sets. Mail Room functions
include incoming and outgoing U.S. Postal mail, the folding /insertion of correspondence material,
and remittance processing of all City billings. With the additional responsibilities associated with
46
vendor payables, Fiscal Services is now also
coordinating the tax reporting of compensation
and benefits on behalf of vendors. Beginning its
second year with the Division is the Parking Meter
Collection Crew. This staff of four was previously
assigned to Public Works and is responsible for
the maintenance of the City's parking meters,
change machines, and meter coin collection
activities. Their coin collection duties result in
$2.2 million of revenue each year.
The Revenue Division is responsible for overall
revenue administration, including development,
recovery, and analysis. This plays a key role in the
City's ability to maintain consistent service levels.
Staff members monitor proposed legislative
changes that affect the City's revenue streams. They often take a lead role in mounting opposition
against bills that have a detrimental impact on municipal services. Staff reviews existing State
laws mandating a higher level of service on the City, and pursues reimbursement of the additional
costs imposed by the State. As local control over revenue streams has shifted to State and
County agencies, Revenue staff's review of the accuracy of subventions from those agencies
has increased. The Citywide consolidation of receivables management has increased efficiencies
and expanded the Department's customer service responsibilities to its external customers —
residents and visitors. Revenue has pioneered and manages a unique program to link like entities
across diverse databases to consolidate customer information, and improve customer service
and revenue recovery. Included in these customer services is the adjudication of all non - criminal
actions taken by City Departments (e.g. parking and administrative citations). Revenue's income
contract administration ensures compliance with agreements while maximizing the benefits arising
from use of public property. Revenue specific compliance and allocation audits, license inspectors
and other revenue enhancement measures ensure a level playing field for all taxpayers within
each tax base.
In general, the Accounting Division is in charge of the overall accounting, financial reporting and
audit management functions as well as the administration and development of the City's operating
budget. In this capacity, this division monitors and implements new accounting pronouncements
to insure the City adheres to generally accepted accounting practices. This division also oversees
several detailed accounting processes including: general ledger maintenance; cash and investment
reconciliations; capital asset, debt and assessment district administration; accounting for reserves,
designations, grants and other restricted sources. This division acts as the financial historian
for the City, accounting for and reporting the City's financial position and results of operation.
Consequently, Accounting staff members are often utilized to satisfy information requests, analyze
past operation results, as well as estimate the cost of future ventures. Although cities are not
required to file income tax returns, cities are not exempt from many federal and state imposed
excise tax filings and are required to file many annual compliance reports with various regulatory
agencies. Also in charge of City payroll, this Division also coordinates compliance with the Internal
Revenue Code and related tax filings concerning employee compensation and benefit plans.
47
ADMINISTRATIVE SERVICES (Continued)
Information Technology
The Information Technology (IT) Division (formerly know as the M.I.S. Division), has the
challenge of taking the lead not only for the Administrative Services Department, but also for the
entire City in this critical area. The specific functions at issue involve every Department Division
at the most fundamental level.
Information and communication technology is a fast moving, ever changing industry that the City
must embrace and grow with in order to keep up with the demands of our Community and using
Departments. This area of service includes:
• Administration of shared computer systems
• Internet /Intranet access and firewalls and security systems
• E -mail, voice mail, communications systems and devices
• Development and administration of the City's Web site
• Centralized database applications development and support
• Software training
• Personal computer purchasing, support, and network administration
• Geographic Information Systems development and support
Network administration and support includes telecommunications and Wide Area Networking
(WAN). The Telecommunications Section operates and maintains the City telephone systems,
including City owned and operated pay telephones, and provides LAN and WAN support of
hardware and software components required to provide connectivity to all City remote sites. The
IT Division also supports a complex Geographic Information System (GIS) designed to provide
analysis and mapping capabilities.
The Future
The Administrative Services Department continues to take the lead in providing automation
solutions and communications services to all City Departments, the City Council, and members
of the public.
City LAN/WAN infrastructure, personal computers and software applications will continue
to be upgraded to take advantage of the latest in hardware and software technologies. Voice
and data technology solutions will continue to be implemented between all City remote sites in
order to provide faster, more efficient, cost effective connectivity. There will be a concentrated
effort to increase bandwidth to remote sites using more efficient wireless technologies. Wireless
technologies will become more widely used by City employees assigned to work outside of the
office. Maintenance and other field personnel will become more reliant on the ability to access
remote resources via wireless technologies.
Applications including: core accounting, billing, and HRM modules; GIS; document imaging
and management; and Interactive Voice Response (IVR) systems will continue to be developed
and expanded. Updated Aerial photography of the entire City and surrounding areas will be
incorporated into the GIS system along with light detection and ranging (LIDAR) data that will
provide 3 dimensional geographic display and analytical capabilities. The Internet and Intranet
Web sites will continue to be developed and expanded with an emphasis towards providing an
advanced, more efficient means of communicating and presenting information to citizens and
48
employees. Additionally, the focus on development of these Web sites will be geared towards
implementing sophisticated, interactive solutions and tools designed to provide better, more
efficient customer service.
The IT Division is committed to providing enterprise solutions to all City departments. Careful
consideration is given toward developing open systems that are able to readily communicate
and share information. The move is toward developing and implementing systems that are "user
friendly." The Division also maintains a strong commitment towards providing training and guidance
to all City Departments in related information systems areas.
Service Indicators 2004 -05
2005 -06
2006 -07
2007 -08
Actual
Actual
Estimated
Projected
Budget Administered $186,822,264
$189,686,214
$252,769,561 **
$208,924,710
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Warrants Issued 17,613
16,443
17,500
19,500
<
Value of Payments Processed $118,250,333
$117,981,345
$123,050,000
$129,500,000
t
Checks Deposited 213,170
182,557
180,500
178,900
M'
Value of Currency Deposited $2,688,069
$2,912,678
$3,098,734
$3,042,310
s
Annual Payroll & Benefits $88,156,993
$100,311,429
$100,389,842
$108,494,514
Paychecks Processed 27,275
27,150
27,400
27,700
Purchase Orders 669
636
640
650
Images Printed 3,961,101
4,443,911
4,046,245
4,376,227
Printing & Binding Jobs 4,333
4,854
4,354
4,555
Mail Room Volume 213,557
239,872
217,269
220,000
Municipal Statements 179,047
178,417
205,000
205,000
Accounts Receivable Billings 5,337
4,687
10,000
10,000
New Business Licenses 5,294
5,530
4,800
7,000 * **
Business License Renewals 14,192
15,233
13,000
13,000
Dog Licenses Issued 2,078
1,525
3,600
5,200
Parking Citations Processed 73,014
73,012
75,000
75,000
Administrative Citations Processed 8,047
7,223
5,000
5,000
Ajudications 3,468
3,321
3,200
3,600
Business Tax Revenue $3,458,165
$3,848,381
$3,300,000
$3,465,000
Business Tax Notices 9,643
6,891
13,000
41,000 * * **
Transient Tax Revenue $9,215,862
$9,791,057
$10,738,983
$11,275,932
Transient Tax Notices 2,839
2,768
3,100
3,100
Film Permits -
-
140
155
Contracts Administered -
-
-
48
City Owned Telephone Units 835
865
835
840
Service & Repair Calls 1,944
1,953
1,911
1,900
Average Monthly Calls 79,135
81,358
82,967
84,000
* Budget Administered is limited to gross actual expenditures for FY05 & FY06; while FY07 & FY08
represent the gross budget administered (including internal
service charges).
Increase due to unusually high CIP activity.
"* Increase due to new field license inspector.
* * *' Prior to FY08, only Business Tax Notices sent to new businesses were calculated; FY08 also
includes notices sent to businesses renewing their business license.
49
POLICE DEPARTMENT
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The Newport Beach Police Department is committed to providing our Community with the
highest quality police services possible to maintain the quality of life that is cherished by
those who reside, work, and visit here. Our mission is to:
Respond positively to the Community's needs, desires, and values
and in so doing be recognized as an extension and reflection of those we serve.
Strive to provide a safe and healthy environment for all, free from violence and
property loss resulting from criminal acts, and injuries caused by traffic violators.
Manage inevitable change and welcome the challenge of future problems
with creative solutions which are financially prudent and
consistent with Community values.
Leadership - required in all that we do
Neighborhood Watch and Community Outreach will remain a focus of the Department's efforts
this year. In order to better respond to the needs of the Community, our Neighborhood Watch
Program will be evaluated forways in which to increase Community participation and the substance
of that participation. A redefinition of the neighborhood watch networking process will become
an important tool in the implementation of this particular objective. Ways in which to tap into
homeowner's association websites and email systems for a two -way information sharing process
will be studied. Additionally, quarterly area meetings will attempt to increase the participation of
all interested residents instead of only Block Captains.
Recruitment continues to be a high priority
for our organization as well as other agencies
throughout the profession. This issue will
continue as one of our top priorities. In past
years we formalized a Recruitment Committee
to review and contribute to a recruiting
strategy. The adopted strategy will continue.
Leadership Development and Succession
Planning continues to be a high priority for
our Organization. As our recruitment efforts
become more successful and we continue to fill
employee vacancies, it becomes increasingly Recruiting open house for prospective employees
important to develop those new employees
as well as existing ones for future promotional opportunities. The Department will reinstitute the
highly successful Leadership Development program. As part of our ongoing succession planning,
this program will be open to everyone with an emphasis on identifying and developing future
Department leaders. The curriculum will be revised to meet the current challenges of modern law
enforcement.
New Employee Emersion will be a fundamental objective during this fiscal year. As our recruitment
efforts begin to pay dividends, the need for our new employees to feel at home and to move more
efficiently throughout the Department and overall City organization is important. An immersion
program will be developed in which new employees will be exposed to different Divisions and work
units within the Police Department as well as different areas of City government. It is the intent of
this program to make our employees as familiar as can be with all facets of local government in
order to serve our citizen's more effectively.
Problem Oriented Policing (P.O.P.) will continue to be an important aspect of this Organization's
efforts to interact with the Community. New training will be developed in accordance with today's
accepted problem solving techniques and delivered to the Department's P.O.P. officers, supervisors
or anyone else interested in the training. The Department will also investigate alternate software
applications so that the P.O.P. process can be better automated within the police facility and more
importantly, in the field.
Capital Projects will occupy the attention of a number of our staff during the coming year as we
complete the upgrade of certain areas of our 34 year old facility and focus on it's capability to
sustain operations in an emergency.
2004 -05 2005 -06 2006 -07 2007 -08
Actual Actual Estimated Proposed
Salaries and Benefits
$
28,913,512
$
32,049,368
$
23,736,230
$ 34,357,561
Maintenance and Operations
$
5,035,792
$
5,316,408
$
4,811,969
$ 6,693,543
Capital Outlay
$
543,361
$
806,260
$
231,291
$ 412,770
Internal Service Fund
$
-
$
600,707
$
701,000
$ 514,000
Total
$
34,492,665
$
38,172,036
$
28,779,490
$ 41,977,874
Sworn Personnel
148
148
148
148
Non -Sworn Personnel
89
90
92
92
Total Personnel
237
238
240
240
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POLICE DEPARTMENT
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Chief of Police
Staffing: 10 plus .49 FTE
$1,876,877
Professional Standards
D.A.R.E.
Media Relations
Environmental Services
Community Relations
Legal Affairs
Crime Prevention
Citizen's Academy
Patrol
97 plus 4.29 FTE
Watch One
Watch Two
Watch Three
Jail Unit
S.W.A.T.
Bicycle Unit
Canine Unit
Disaster Planning
Helicopter Program (A.B.L.E.)
Volunteer Program
Reserve Officer Unit
Hostage Negotiation Unit
Resource Distribution
Traffic
Staffing: 32 plus 3.74 FTE
$4,885,727
Traffic Services
Accident Investigations
Motors
Parking Control
Crossing Guard
Traffic Education
Animal Control
Special Events Planning
Support Sery ices
Staffing: 55 plus 6.84 FTE
$10,155,564
Alarms Officer
Communications
Video Unit
Property Unit
Polygraph Unit
Fiscal Services
Records Section
Training Section
Range /Armory
Computer Systems
Planning /Research
Facility Maintenance
Electronic Equipment Repair
Fleet Maintenance
Staffing: 2
$1,622,476
Parts Inventory
Automotive Service
Equipment Replacement
Collision Repair
Vehicle Maintenance
Detectives
Staffing: 44 plus .19 FTE
$7,095,939
Detective Services
Crimes Persons
Property Crimes
Juvenile /Sex Crimes
Narcotics Section
Economic Crimes
Crime Scene Investigations
Photo Unit
Vice /Intelligence
Crime Suppression Unit
Crime Analysis
Auto Theft Task Force (OCATT)
School Resource
Regional Narcotic Suppression
Program (R.N.S.P.)
(Figures do not include Asset Seizure
or other grant funds)
The Police Department is comprised of the following divisions of responsibility — The Office of the Chief
of Police, Patrol/Traffic, Detectives, Support Services, and Fleet Maintenance. Under the leadership of
Chief Bob McDonell, the Department's management team includes three Captains and nine Lieutenants.
Of the Department's authorized strength of 148 sworn officers, over 90% of them are assigned to field or
investigative positions. Personnel related costs make up 83% of the Police Department's total budget, with
the remainder devoted to training, technology, office equipment, supplies, and other operational costs.
Detective Fleet
17% Maint.
4%
Traffir
12°i
Pah
38%
COP
5%
Support
Services
24%
FY 08 Budget by Division
(NAFF & Grant Funds Not Included)
Traffic
12%
Patrol
56%
Detective COP
24% 5%
Sworn Officers by Division
Support
Services
3%
New Department members take the Oath of Office to serve the Community
Service Indicators
Part One Crimes'
Adult Arrests
Juvenile Detentions
Crime and Miscellaneous Reports
Calls for Service
CAD Events
Domestic Violence Cases Investigated
Number of Cases Assigned for Investigation
Number of Cases Assigned per Detective
Value of Property Recovered
Field Interviews Conducted
False Alarms Handled
Animals Impounded
Animal Control Citations Issued
Fatal Traffic Collisions
Injury Traffic Collisions
Property Damage Collisions
Vehicle Code Citations/Warnings issued
Other Citations Issued
Parking Citations Issued
2004 -05
2005 -06
2006 -07
2007 -08
Actual
Actual
Estimated
Projected
3,028
3,045
3,081
3,062
3,079
2,999
3,021
3,110
251
264
289
277
10,079
10,182
10,278
10,301
58,039
62,429
66,816
66,819
82,945
83,343
83,741
84,139
276
245
237
272
4,343
4,317
4,396
4,291
310
309
318
308
2,720,795
3,832,647
3,400,042
3,331,433
5,912
4,965
4,501
4,474
Unavailable
3,727
3,647
3,516
550
558
524
562
926
886
885
846
5
4
7
6
542
508
553
557
953
861
864
840
17,553
18,151
18,401
18,288
3,669
3,578
3,249
3,487
72,665
74,780
71,561
71,898
Part One are the eight most serious crimes (Homicide, Forcible Rape, Robbery, Aggravated Assault, Burglary, Larceny -theft, Auto Theft and Arson) as
defined by the FBI in the Uniform Crimes Reports.
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FIRE DEPARTMENT
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To reduce the loss of life and property from fire, medical, marine, and
environmental emergencies through education, prevention,
hazard reduction, and response
The mission statement above provides the framework for all of the goals and activities of the
Newport Beach Fire Department. The Department's 154 full -time employees and over 225 seasonal
employees provide 24 -hour protection and response to the City's residents and visitors.
• Identify and reduce fire and environmental hazards that may threaten life and property.
• Provide a safe, effective and expeditious response to requests for assistance.
• Develop an adequately trained work force to effectively perform their duties.
• Participate in the community development planning process to improve fire and life safety.
• Encourage department personnel to assume leadership roles in the organization.
• Plan for response to natural and man -made disasters that affect the community.
• Educate and train City employees and the community to assist them in maintaining a safe
environment.
2007 -2008 Emphasis
With strong roots and a long history, the Fire Department continues to develop and enhance its
mission of superior safety, service, and professionalism. The department focuses on effective and
efficient methods for the delivery of public safety services to the community of Newport Beach.
This is the expanded level of assistance Newport Beach citizens have grown to expect. The Fire
Department continues to build on past successes and strives to meet the future demands of a
unique and expanding community. Today, the Newport Beach Fire Department places emphasis
on Emergency Services, Fire Prevention, Disaster Preparedness, and the Training and Education
of those who serve as well as those to be served.
Emergency Services
The Newport Beach Fire Department strongly believes in offering our community the highest level of
service. In order to provide the highest level of emergency services, the Fire Department maintains
one Operations Division, which encompasses fire, emergency medical service, and lifeguard
responders. Our fire emergency responders are strategically located in eight fire stations around
the city, ensuring they can respond rapidly to
emergency situations. A focus for 2007 -2008
will be finishing the construction and begin
training classes at our new fire station in Santa
Ana Heights. The new facility will include a
firefighter training facility and community training
classroom. These additional facilities will allow
the department to not only enhance our existing
emergency operations for Santa Ana Heights,
but also improve operations throughout the city
with enhanced firefighter training. In addition,
the community classroom will allow us to offer
additional public safety classes to the residents
in a variety of subjects. Our emergency medical
service responders rely on advanced equipment
to save lives, including Automatic External Defibrillator (AEDs), paramedic monitors that easily identify
heart attacks, and devices that monitor blood sugar levels. New modular ambulances were acquired
which offer more patient treatment room and easily accommodate advanced medical equipment. Our
"Fire Medics" program is currently utilizing a medical information system, called Aculert, where our
residents can provide medical and family contact information prior to an emergency. With the swipe
of a Driver's License or special identification card, paramedics can quickly access information via
handheld computer.
Ocean Lifeguards - Our Ocean Lifeguards protect over
10 million beach visitors on Newport Beach's 6.2 miles
of ocean and 2.5 miles of bay beaches with preventative
actions and medical assistance. Every day of the year,
lifeguards ensure the safety and provide customer service
to the visitors on the beach, boardwalk, piers, and in the
ocean. The Lifeguard Division provides the City of New-
port Beach with the highest level of lifeguarding services
and is recognized as an Advanced Agency by the United
States Lifesaving Association.
All of our emergency response personnel are highly trained
and strive to ensure the safety of our community.
Fire Prevention
The goal of the Fire Prevention Division is to safeguard the
community from fire and environmental hazards through
programs providing for adherence to fire regulations, public
education, and hazard mitigation. To meet this goal, the
Division's responsibilities include:
�5
FIRE DEPARTMENT (Continued)
Fire Safety Inspections - It is the duty of the Fire Prevention Division to inspect all commercial
occupancies including: retail stores, business offices, high -rise buildings, educational facilities,
apartment buildings, residential care facilities and acute care facilities such as hospitals, surgery centers
and so forth. Private residences are inspected at the request of the individual property owner.
The condition of built -in fire protection equipment, interior finishes, exits, operation of exit doors,
exit signs, fire doors, emergency lighting, interior and exterior storage, and hazardous materials
are inspected. On site visits and one -on -one discussions with a property owner or manager are an
important factor in eliminating potential fire problems.
Over 6500 commercial occupancies are included in the Division's inspection program. The majority of
which are inspected by the Department's firefighters. Highly technical inspections, such as schools,
care facilities, hospitals and similar institutions are inspected by Fire Prevention Specialists from the
Fire Prevention Division.
Plan Review -The Fire Prevention Division reviews all plans in conjunction with the building department.
The review of building plans provides the Fire Department with an opportunity to verify that fire and life
safety requirements are being met prior to the completion of the building.
Pre - submittal Review - As a service to our customers, the Fire Prevention Division provides
consultation services to architects, developers, contractors and property owners prior to plan submittal.
This review provides an overview of fire and life safety regulations which may affect the proposed
building and the surrounding area. By providing this service, we have greatly reduced the amount of
corrections that need to be made by the applicants and, therefore, we have reduced our plan check
turn around time to less than two weeks.
Fire Investigation - The Fire Department investigates all fires to determine fire cause. The Fire
Prevention Division coordinates the efforts of the Operations Division's six on -duty fire investigators.
Our six professional fire investigators work in conjunction with the Newport Beach Police Department
and assist in criminal investigations by determining the origin and cause of fires. An additional focus
is on identifying factors that can be used to lessen the number of fires in the future. Data from fire
investigations can help enhance inspection procedures, publiceducation programs and fire suppression
activities.
Special Fire Protection Areas — The Fire Prevention Division provides inspection services to all of
the residential properties within the City's wildland interface areas including: Newport Coast, Corona
Del Mar, Mission Bay Canyon, plus the Eastbluff and Westcliff communities.
New developments, including all newly annexed property in Newport Coast, comply with the City's
Fuel Modification Standard. This standard specifically identifies the type and quantities of largely
non - combustible vegetation that can be planted at the time of new construction. The standard also
contains provisions for annual maintenance and upkeep of the designated properties by property
owners or homeowner's associations.
Asecond standard for Hazard Reduction has been adopted to address the needs of existing residences,
such as those outside of Newport Coast. The Hazard Reduction Standard allows homeowners and fire
prevention specialists to work with existing landscapes to create defensible space between the homes
and wildland areas, which enables firefighters to better protect the threatened properties.
56
All Special Fire Protection Areas are inspected annually to ensure compliance. Our staff is also
assisted by the firm of Dudek and Associates who provide technical expertise and assure compliance
with all State and Federal wildlife regulatory agencies.
Hazardous Materials — As a member of the Orange County Certified Unified Program Agency
(CUPA), the Newport Beach Fire Department is responsible for the collection of hazardous materials
disclosure information and business emergency planning. This information is collected annually from
all businesses within the City of Newport Beach that handle or store more than 55 gallons, 200
cubic feet or 500 pounds of hazardous materials. Approximately 150 businesses participate in the
program.
Disaster Preparedness
Due to its geographic location, the City of Newport Beach is vulnerable to a multitude of different
threats, including earthquakes, fires, floods, terrorism, pandemic and tsunamis. Therefore, disaster
preparation is a high priority for the Fire Department. The Disaster Preparedness Section of the
Training Division is committed to providing education and training to all City employees and residents.
The City's Emergency Operations Center (EOC) is regularly activated for drill scenarios and we
continually enhance our response capabilities. Our City employees receive regular preparedness
and safety training through the Emergency Response Team (ERT) program. In addition, all full -time
City employees are certified Disaster Service Workers, trained and ready to respond to any large
disaster or emergency.
Disaster training for the residents within the City also continues to thrive through two successful
programs, the Community Emergency Response Team (CERT) program, and the newly created
Neighborhood Disaster Preparedness Course. The CERT program, which is currently being offered
four times a year, teaches residents how to prepare, be self- sufficient, and respond to any large
disaster. The Neighborhood Disaster
Preparedness Course teaches
residents basic disaster preparedness,
family emergency planning, and home
safety measures. This three hour
course is offered to any requesting
community group or neighborhood OK) AV
association. Additionally, basic disaster
preparedness presentations are given
to any requesting business, school, or CER
community group within the city. _
The next step in disaster preparedness
is continued public outreach to all 165
homeowner associations in the city,
with the ultimate goal of creating a Neighborhood Disaster Response Team with trained citizen
CERT members in each community. The neighborhood teams will perform initial critical functions
following a large disaster until emergency personnel arrive. These measures will save lives and allow
emergency personnel to focus their efforts on other critical life saving functions. This is one example
of how residents and the City are working together as "Partners in Preparedness" to achieve an all
encompassing disaster preparedness plan.
57
FIRE DEPARTMENT (continued)
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Training and Education
The Newport Beach Fire Department continues to strive for excellence in training and education for
both department employees and our community. Department employees participate in a combination
of classroom instruction and field drills. Newport Beach Fire and Lifeguard personnel consistently
receive the highest scores in the training classes completed. The Department Training Program
concentrates on excellence and effectiveness in our provision of life saving services. As previously
mentioned, the construction of the new fire station and training facility in Santa Ana Heights will allow
us to improve firefighter training and community education programs. Emergency responders will
continue training on the National Incident Management System (NIMS) to complywith the new Federal
Regulations. Additionally, firefighters will continue training for response to Hazardous Materials and
Weapons of Mass Destruction incidents which will sustain each employee's knowledge base at a high
level. The combination of personnel growth and individual skill development unites to form a uniquely
effective department.
The Fire Department also provides excellent community
education. Department members provide safety instruction
and training to school age children through the Junior
Firefighter, the Junior Lifeguard, and Lifeguard Cadet
Programs. Lifeguard personnel have continued our "CPR
in the Schools, Working Together to Save Lives' program.
Each year in this program, over 700 Newport-Mesa high
school safety education students are taught CPR and other
safety instructions.
The popular Public Safety Day Open House, held each
October during Fire Prevention Week, gives Department
personnel the opportunity to demonstrate our many skills
developed through extensive training. It also provides
an opportunity to interact with our community members,
allowing for in -depth safety education.
2004 -05
2005 -06
2006 -07
2007 -08
Actual
Actual
Estimated
Proposed
Salaries and Benefits
$
20,958,710
$
22,638,749
$ 16,980,432
$ 24,629,190
Maintenance and Operations
$
3,469,093
$
3,858,731
$ 3,193,612
$ 4,656,329
Capital Outlay
$
173,608
$
323,666
$ 434,377
$ 302,335
Total
$
24,601,411
$
26,821,147
$ 20,608,421
$ 29,587,854
General Tax Revenue
$
20,924,636
$
22,960,322
$ 17,794,490
$ 26,002,544
Other Revenue
$
3,676,775
$
3,860,825
$ 2,813,931
$ 3,585,310
Total Revenue
$
24,601,411
$
26,821,147
$ 20,608,421
$ 29,587,854
Non -Sworn Personnel
14
15
16
16
Sworn Personnel
134
135
138
138
Total Full -time Personnel
148
150
154
154
Seasonal - (FTE)
30.78
30.78
31.77
33.13
Under the direction of Fire Chief Steve Lewis, the Fire Department is divided into five divisions:
Safety Operations
Staffing: 130 plus 21.39 FTE
$23,009,134
Fire Suppression
EMS Response & Transportation
Ocean Safety /Beach Rescue
Dive Team
Rescue Boats
Hazardous Materials Response
Hazardous Situation Mitigation
Fire Prevention Inspections
Administration
Staffing: 8.5 plus 1 FTE
$1,448,977
Apparatus & Equipment
Budgeting
Communications
Facility Management
Mapping
Personnel
Purchasing and Procurement
Training
Staffing: 7 plus 10.74 FTE
Fire Training
Lifeguard Training
Junior Lifeguard Program
Lifeguard Cadet Program
Junior Firefighter Camp
Community Relations & Education
Public Information
Disaster Preparedness
Emergency Management
C.E.R.T Program
Community Disaster Preparedness
Emergency Medical Services
Staffing: 1.5
$2,025,648
EMS Financial Management
Continuing Education
Employee Health
Exposure Control
Medical Quality Assurance
Medical Disaster Planning
Fire Prevention
Staffing: 6
$1,218,289
Fire Code Enforcement
Hazardous Materials Regulation
Hazardous Vegetation Management
Knox Box Access System
Fire &Arson Investigation
Fire Code Plan Checks
Fire Code Building Inspections
Special Event Management
Service fee programs include the paramedic service fee program, and emergency ambulance
transportation. Other service fee systems in place include: fire permitfees, the Fire Medics program,
and the Junior Lifeguard program. Users of any of these programs offset their end result costs.
Service Indicators
Fire Responses
Medical Responses
Fire Medics Membership
Water Rescues
Lifeguard Medical Aids
Boats in Distress
Preventative Actions
Fire Alarm Responses
Other Emergency Responses
Public Education Contacts
Fire Inspections
New Construction Inspections
Beach Attendance
0 r
A p
W'
2004 -05
2005 -06
2006 -07
2007 -08
Actual
Actual
Estimated
Projected
p
228
214
175
300
5,568
5,382
5,772
5,900
A
5,800
5,840
6,529
7,000
r)
4,384
2,257
3,916
6,000
7,348
8,905
5,291
7,700
96
91
128
100
118,190
70,862
84,949
125,000
737
693
791
1,250
2,296
2,736
1,671
3,000
4,369
4,402
4,500
8,000
4,550
6,470
7,000
6,600
Not available
801
917
1,100
8,309,790
6,758,342
7,580,988
10,000,000
00
PLANNING DEPARTMENT
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To guide community development in the public interest
as a responsive, responsible, and knowledgeaable
planning team.
Department Overview
The Planning Department prepares and implements both short and long -term strategies
that promote City Council priorities for enhancing the physical environment, the character
and quality of neighborhoods, and the overall experience of the Newport Beach community.
Planning Department team members strive to provide superior service to residents and
property owners and professionals in the development community.
Planners are responsible for interpreting and applying the provisions of the General Plan,
Zoning Code, Local Coastal Program, and related codes; planners work with customers in
determining appropriate uses of properties, in identifying suitable site plan configurations, and
in designing buildings of size, scale, and character consistent with traditions of excellence that
define Newport Beach. Planners provide the staffing resources for the Planning Commission
and the City Council for a variety of land use and development projects requiring public
hearings pursuant to the Newport Beach Municipal Code.
Program managers in the Community & Economic Development division develop and
implement the City's economic development policies and programs, including the Strategic
Plan for Fiscal and Economic Sustainability. They are the staff liaison to the Economic
Development Committee, four Business Improvement Districts (BIDS) and many of the City's
business associations and community -based organizations like the CdM Farmer's Market and
the Newport Beach Film Festival. The program managers administer the City's community
development programming, such as the Community Development Block Grant.
Budget Highlights
In the fall of 2006, voters approved the
City's Comprehensive General Plan
update. The General Plan serves as the
statement of official policy for Newport
Beach's long term physical development.
The update process occurred over several
fiscal years and the implementation of the
Plan's polices is now in progress. The
Planning Department budget for 2007-
2008 reflects funding for special projects
related to implementation of both the
General Plan and Local Coastal Program.
A comprehensive update of the Zoning
Code to make it consistent with the new
General Plan was funded as a budget
amendment in fiscal year 2006 -2007;
Planning Department programs for gaining California Coastal Commission approval for both
an amended Coastal Land Use Plan and for the Implementation Plan for the Local Coastal
Program consistent with the General Plan are included in the 2007 -2008 budget.
Implementation of the City's Housing In -lieu fee is anticipated in calendar year 2007 and an
allocation for consultant work needed to implement the program is included in this year's
budget. Consultant work required to finalize the update of the General Plan Housing Element
and gain State certification will continue during this fiscal year but was funded in Fiscal Year
2006 -2007. The archiving of Planning Department case files in electronic format was partially
funded in fiscal year 2006 -2007 and is funded through fiscal year 2007 -2008 with completion
anticipated in fiscal year 2008 -2009.
Funding for four new Planning Department staff positions previously authorized by City
Council to reduce turnaround time for plan check submittals is included in the 2007 -2008
budget. Two Plan Check Specialists joined the Planning staff near the end of the 2006 -2007
fiscal year. A recruitment to fill two additional Assistant Planner positions will begin during the
2007 -2008 budget year.
City of Newport Beach
Local Coastal Program
4
Coastal Land Use Plan
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PLANNING DEPARTMENT (continued)
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This Year's Objectives
• Continue to implement the General Plan
• Complete comprehensive Zoning Code update
• Gain California Department of Housing and Community Development certification
of the updated General Plan Housing Element
• Gain California Coastal Commission certification of revised Coastal Land Use Plan
• Gain California Coastal Commission certification of Local Coastal Program
Implementation Plan
• Present Housing In -Lieu fee for City Council adoption
• Implement Strategic Plan for Fiscal and Economic Sustainability
• Continue to implement department organizational changes to improve customer
service and streamline discretionary project processing
• Reduce zoning plan check turnaround time to eight weeks or less for first plan
submittal
• Provide on -site professional development and training courses whenever possible
to achieve economies of scale in enhancing planners' expertise
• Continue planning case files electronic format archival program
• Prepare appropriate land use regulations to minimize impacts of intensive
residential occupancies including group homes
2004 -05
Actual
2005 -06
Actual
2006 -07
Estimated
2007 -08
Proposed
Salaries and Benefits
$
1,601,550
$
1,833,686
$
1,392,814
$
2,279,202
Maintenance and Operations
$
552,449
$
1,448,136
$
606,243
$
416,117
Capital Outlay
$
27,632
$
12,374
$
2,010
$
57,750
CDBG Fund
$
136,690
$
187,327
$
62,918
$
129,000
Total
$
2,318,321
$
3,481,522
$
2,063,985
$
2,882,069
Planning Activities Overview 2004 -2005 2005 -2006 2006 -2007 2007 -2008
Actual Actual Estimated Projected
Application Type
General Plan Amendments
Code Amendments
Use Permits
Variances
Tract Maps /Parcel Maps
Modification Permits
Condominium Conversions
Lot Line Adjustments
Plan Checks
Plan Ch
33%
8
10
5
2
15
9
12
14
60
34
39
35
5
2
1
2
62
71
28
24
113
149
100
70
21
40
4
4
10
14
18
8
6,534
6,063
5,786
5,520
Department Functions by Staff Hours
Administration
Advance Planning
Current Planning
33%
Planning /Administration
Staffing: 20 plus .4 FTE
$2,260,700
Planning Commission
Environmental Quality Affairs Committee
Advance Planning
Current Plans & Projects
Plan Check
Environmental Review
GIS /Data & Demographics
Regional Planning Activities
Housing
Economic
Development
10%
rical Support
9%
Economic Development/CDBG
Staffing: 3
$621,369
Economic Development Committee
Special Project Management & Coordination
Peninsula Revitalization /PROP Committee
Business Improvement Districts
Business Retention /Recruitment
CDBG Administration
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BUILDING DEPARTMENT
c To ensure the quality of life of those who live, work, and visit
the City of Newport Beach by promoting safety in the regulation
of the construction, use and occupancy of buildings and
n by taking a customer oriented approach to finding
educated, cost effective solutions.
Department Highlights
The Building Department ensures the health and welfare of the residents of Newport Beach by
regulating the construction, use, and occupancy of buildings and other alterations through the
application of standardized model building codes. It continues a tradition that can be traced
through recorded history for over 4,000 years in which people have become increasingly aware of
their ability to avoid the catastrophic consequences of building construction failures. The Building
Department ensures that the standards set by these codes for construction are met through
plan review, permit issuance and on -site inspections. The Newport Beach Building Department
was a key member of the uniformity effort to develop a uniform set of codes throughout Orange
County.
Primary Goals
QMaintain a management system that effectively and efficiently utilizes resources to achieve the
mission of the organization.
0. Continue enhancements to the 'Permit Plus" permit tracking and processing system.
• Continue to look for ways to improve service delivery to our customers.
• Facilitate compliance with City- adopted codes and State - mandated standards.
• Adopt the recently State - adopted 2007 codes which take effect in January 2008.
• Train staff on the new 2007 State building codes.
• Update correction lists, forms, handouts, standard plans, policies, and inspection standards
according to the newly adopted 2007 State building codes.
• Continue the quality assurance program for all department activities.
• Continue to process permit applications efficiently and complete 90% of all plan reviews within
four weeks turn - around goal.
• Utilize new technological advances to make customer dealings with the Building Department
more efficient and convenient.
• Achieve consistency in plan check, inspections, and interpretations through staff training and
interaction.
• Continue to catalog and integrate the County records as they are received from the County of
Orange for Newport Coast for customer and staff access.
• Continue to improve plan tracking and storage methodologies to provide access to plans and
permits as easy as possible.
• Expand our current on -line inspection information to enable for our customers to read inspection
comments on line.
• Evaluate the feasibility of submitting drawings into plan check electronically instead of paper
drawings.
64
Administration* O b
Staffing: 5 plus .8 FTE p A
$544,702 N,
Plan Check/Permits Services I Inspections
Staffing: 12 plus 1.13 FTE H Staffing: 12 plus .63 FTE
$1,705,781 $1,524,440
TOTAL $3,774,923
29 Positions, plus 2.56 FTE
*The Building Department pools clerical support staff for all three divisions under the Administration Division.
Budget Highlights
The Building Department is responsible for reviewing construction drawings and inspecting
building construction to verify compliance with minimum building safety standards required by
local and State construction codes. The Building Department budget is divided into three sections:
Administration, Plan Check /Permits Services, and Inspections.
Projected Construction Activity for Fiscal Year 2006 -2007
Total Construction Valuation: $235,492,000 Number of Plan Submittals:
Number of Building Permits: 2,900 Total Inspections:
Total Number of Permits: 9,000
$350
$300
0)
to
0 $250
C
O
U $200
C 0 $150
O w
U to
3 $too
R
$50
$0
2,500
35,600
93 -94 94 -95 95 -96 96 -97 97 -98 98 -99 99- 2000- 2001- 2002- 2003- 2004- 2005- 2006-
2000 2001 2002 2003 2004 2005 2006 2007*
Fiscal Years *Projected
65
BUILDING DEPARTMENT (Continued)
Administration Division is responsible for the
overall management of the department operation,
such as technical and administrative direction to staff,
setting policies and standard operating procedures,
training, code interpretation, processing building code
modification applications, and staffing the Building
and Fire Board of Appeals. The division is also
responsible for both customer service and assisting
other staff members. Administrative staff assists
walk -in customers as well as answering phone calls.
Phone tasks include helping with inspection requests,
relaying inspections times, providing flood zone
determinations, taking citizen complaints regarding
unsafe and /or illegal construction occurring in their
neighborhood, handling public utility releases, and a
variety of customers' questions.
Customer reviews building records on
microfiche and computer
The Administration Division is responsible for the
archiving of documents, construction permits and
plans. These documents are scanned and built
into a database for future reference. Staff assists
customers such as architects, contractors, real
estate agents, appraisers and homeowners
conduct research to find archived documents.
Customers frequently require access to plans
when planning new projects such as remodels,
alterations and additions. These documents
currently exist in a number of mediums including
hard copy or original format, microfiche and now
digitally scanned alchemy files. Administrative
staff and the Records Specialist are currently
Active project plans working on the process to migrate all documents
into digital format. The next step in the data migration process is to scan the microfilm plans from
previous years. The Records Specialist is responsible for the tracking and maintenance of plans for
all departments during plan check and inspection.
Plan Check/Permits Services Division processes
applications for construction permits and associated
drawings and performs plan review to make sure
projects comply with all building code standards
and requirements before permit issuance. This is
accomplished by reviewing construction documents
for code compliance for structural, architectural,
grading, and fire safety as shown on submitted
plans. This service saves the builder from costly
changes that could be made during construction
and lends the additional expertise of a building
department code professional to the project.
66
Building Counter
Assistance on the technical requirements of codes is provided over the counter to homeowners,
contractors, architects and design engineers by Building Department staff engineers. The Building
Department currently offers an over the counter plan check service by appointment. The subtrades
plans examiner reviews electrical, mechanical, plumbing, fire alarm and fire sprinkler drawings, and
he is available to answer customers' questions. The plan check division is proud of its quality and
timely processing of all construction documents and permits and has consistently met the stated goal
of 90% of plan reviews within four weeks or less since July 2002.
Inspection Division ensures that projects conform
to the approved plans as well as the various building
codes and local ordinances and that the site
conditions are consistent with the plans approved
by the City. The Inspection Division is comprised
of commercial and residential units, which allows
our inspectors in those areas to stay current on
types of inspections they are asked to perform.
For example, in commercial projects detailed
familiarity with disabled access requirements are
essential to those assigned to our commercial unit.
Similarly, issues in residential inspections relating
to habitability are not normally encountered in
commercial inspections. Periodic rotation of the
inspectors in the residential and commercial units
allows them to become familiar with these specific
issues.
A Building Inspector reviewing plans
prior to inspection
The commercial inspection unit performs commercial combination inspections which benefits our
customers since they are dealing with one inspector for several building trades in addition to the
efficiency resulting from handling several trades' inspections by an individual inspector in one visit.
"Inspection Services" is beneficial to our customers in that it provides a well- trained third party to oversee
the work being provided by their contractor
and ensure that the code prescribed,
minimum level of safety, and workmanship is
maintained regardless of whether the project
is commercial or residential. This division is
also responsible for conducting Residential
Building Records (RBR) inspections at the
time of sale for all residential buildings. In
an effort to be as efficient and productive as
possible, the inspectors utilize wireless lap
tops in the field. The inspectors input and
maintain all records electronically, which
keeps our records accurate and gives the
inspector access to permit records while
in the field. This real time wireless system
offers many benefits to our customers,
including instant inspection results on the
Concrete placement for the new Internet.
Big Canyon Country Club Foundation
[IN
BUILDING DEPARTMENT
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Service Indicators
2004 -2005
2005 -2006
2006 -2007
2007 -2008
Actual
Actual
Estimated **
Projected **
Plan Submittals
3,059
2,851
2,500
2,400
Permits Issued
Building /Combination Permits Issued*
3,793
3,396
2,900
2,800
Grading Permits*
319
306
275
200
Electrical Permits*
2,202
2,637
1,850
1,200
Plumbing Permits*
1,924
1,694
1,350
1,000
Mechanical Permits*
1,366
1,288
1,060
800
Pool /Spa Permits
162
176
160
150
Harbor Permits
87
111
115
110
Residential Building Records Permits
1,572
1,347
900
700
Fire Permits
580
527
390
350
Total Permits Issued:
12,005
11,482
9,000
7,310
Inspections
Building Code Enforcement
259
193
185
180
Inspections related to Complaints
1,052
948
950
900
RBR Inspections
1,241
922
625
500
Construction Inspections
34,935
33,846
33,840
30,000
Total Inspections:
37,487
35,909
35,600
31,580
* Combination permit is issued in lieu of sub
permits effective
November 2006
** Seasonal conditions and economic factors can significantly affect future projections
2500
2000
N
1500
0
1000
U
500
roll
Customer Activity 2006 -2007
Jan -06 Feb -06 Mar -06 Apr -06 May -06 Jun -06 Jul -06 Aug -06 Sep -06 Oct -06 Nov -06 Dec-06 Jan-07 Feb -07
■Total Customers Sere ■Customers Assisted byan Engineer ■Customers who waihW more than 30 minutes
5,000 -
4,500 -
4,000 -
3,500 -
v 3,000 -
K c 2,500 -
�t
Fc 2.000
1,500 -
1,000-
500 -
0-
Building Department Revenue
96 -97 97 -98 98 -99 99 -2000 2000- 2001- 2002- 2003- 2004- 2005- 2006- 2007-
2001 2002 2003 2004 2005 2006 2007' 2008"
Fiscal Years 'Projected — Estimated
Building Department Expenditures by Function
Plan Check / Permit Inspection
Processing 40.4%
45.2%
Administration
14.4%
Salaries and Benefits
Maintenance and Operations
Capital Outlay
Total
2004 -05 2005 -06 2006 -07 2007 -08
Actual Actual Estimated Proposed
$
2,562,909
$
3,197,202
$
2,451,468
$
3,439,822
$
699,369
$
590,009
$
374,552
$
308,601
$
30,340
$
13,950
$
18,990
$
26,500
$
3,292,618
$
3,801,161
$
2,845,010
$
3,774,923
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GENERAL SERVICES
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To provide optimal services and support to the residents,
business community, and other City departments
through dedication and excellence
in safety, performance, and cost containment.
Annual Department Goals
• Provide exemplary level customer service to the public, other departments, and
agencies
Coordinate beautification programs throughout the City
Improvement and maintenance of community assets
• Ensure environmental responsibility with recycling and storm water management
programs
• Expand supervisory, technical, and safety training for employees
• Welcome innovation and creative solutions from all sources
Improve disaster preparation and coordination
Empower and train employees for greater responsibility
Department Overview
The General Services Department consists of six divisions that are identified in the organizational
chart on the next page.
Department functions include residential refuse collection and recycling; maintenance of the
City's urban forest, parks and landscaped areas, storm drains, tide valves, beaches, traffic
signs, pavement markings, and public
facilities; management and replacement
of the City fleet of vehicles and equipment;
and improvement of public streets and
sidewalks.
In Fiscal Year 2007 -08, the Department's
main objectives will focus on maintaining
a high level of service to the public and
other City departments. In addition to
these objectives, each division within the
department has identified key challenges
and emerging projects.
Resource Distribution
The General Services Department is comprised
of the following six divisions:
• Administration
• Field Maintenance
• Operations Support
• Parks Maintenance / Street Trees Palls
• Equipment Maintenance / Replacement 2:
• Refuse Collection
Operations Support
Staffing: 32 plus .75 FTE
$5,553,661
Refuse Collection
Staffing: 30 plus .5 FTE
$6,568,432
Budget Highlights
Budget FY 07 -08
Eu pnm Administmtion
Administration
Staffing: 7
$822,640
Refuse
24%
Field Maintenance
Staffing: 25
$3,902,166
Equipment Maintenance/
Replacement
Staffing: 15
Street Trees / Parks Maintenance
Staffing: 18
$5,837,432
tanance
Operations Support
21%
Fiscal Year 2006 -07 featured several highlights, as the department assumed additional
responsibilities and staff continued its efforts in maintaining and improving community streets,
parks, and facilities. In addition to these efforts, staff provided a high degree of support in planning
and logistics for the City's Pier to Pier, 100 -year anniversary celebration. Also during the year,
the Department conducted a considerable amount of research and analysis on developing new
environmental programs for the City. This work will allow the Department to pursue several
significant work plan items for Fiscal Year 2007 -08.
The General Services Department faces several challenges and significant work plan items in the
new fiscal year. The Department budget for fiscal year 2007 -08 includes a staffing level of 127
full -time positions. The budget also includes minor increases to maintenance and operational
budgets to account for increased costs and expanded responsibilities, including: contract rate
increases, increased materials and resources costs, contract landscape and janitorial services for
new parks and facilities, and contract tree maintenance in Newport Coast.
The budget will again include funding for summer beach restroom maintenance, for contract
services to perform the required annual inspection and cleaning of the storm drain system in
response to NPDES permit requirements, and to perform City -wide alley sweeping. Each of
these services will be performed by private contractors.
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GENERAL SERVICES
Key Challenges
In Fiscal Year 2007 -08, the Administration Division
will take on several new projects and assignments.
The division will work on the planning and
development of a new hazardous waste Antifreeze,
Batteries, Oils & Paints (ABOP) collection facility
for residents at the City Corporate Yard. Also, with
additional hazardous waste mandates scheduled
to go into effect in 2008, the division will examine
options for the disposal of certain hazardous waste
materials like medical wastes and needles. Other
support projects for the division include identifying
grants that will allow General Services to develop
new improvement projects and services for City
parks and beaches.
The Field Maintenance Division will continue to work with the Public Works Department to
refine the City's concrete, pavement, and sidewalk management plan. Better coordination
among departments will help to streamline resources and alleviate any deferred maintenance
to hardscape, sidewalks, and streets. This will prove to be crucial as the costs of materials and
supplies continue to escalate. Also during the year, the division will evaluate the feasibility of
implementing a pilot program for installing rubber sidewalks
in areas of the City. This program could lengthen the life of
City walkways and help mitigate damage to the City's urban
forest.
In Fiscal Year 2007 -08, the Operations Support Division will
be challenged with maintenance for several new facilities in
the City, including the Back Bay Science Center, Newport
Coast Community Center, and additional City Hall facilities.
Additionally, the Division will work on changes to its service
order request system for major repairs and upgrades to City
facilities. Doing so will allow for more efficient design and
replacement of equipment and furniture.
One major challenge that the Department will face in FY 07 -08 is the development of a Compressed
Natural Gas (CNG) fueling station at the Corporation Yard. This project will include several aspects,
including retrofitting the City's motor fleet shop to accommodate CNG vehicles, designing and
installing fueling infrastructure, and replacing the existing fleet with CNG vehicles. Equipment
Maintenance Division staff will continue to work with the South Coast Air Quality Management
District to identify grant funds and potential firms that design CNG fueling stations. Staff will also
develop training programs and review vehicle replacement schedules to account for adding CNG
vehicles to the City's rolling stock.
In the Parks/Trees Division, staff will assume maintenance efforts at several new locations. The
division will also assist with the planning and development of several new parks, facilities, and
medians in the City. In addition, the division will increase efforts on the Central Irrigation Controller
conversion program. This system, which helps to reduce runoff and uses a "smart timer" control
for irrigating landscaped areas of the City, will be increased with the goal of converting all City
11 sites in the next five years
Service Level Indicators
2004 -05
2005 -06
2006 -07
2007 -08
$
Actual
Actual
Estimated
Projected
Public Restrooms Serviced
56
56
56
56
City Restrooms Serviced
96
96
96
96
City Buildings Serviced
72
71
72
73
Sidewalk Repair (square feet)
50,000
55,000
55,000
50,000
Street Patching (tons of mix)
4,500
4,600
4,600
4,600
Curb & Gutter Replacement
3,000
3,200
3,200
4,500
Street Sweepings (miles)
56,648
56,077
55,491
56,000
Beach Cleaning (tons of refuse)
3,500
3,000
3,500
3,500
Regulatory Signs Posted
3,500
3,000
3,000
3,000
Street and Pavement Marking (feet)
175,000
980,000
1,000,000
780,000
Graffiti Incidents
2,600
2,300
2,200
2,500
Refuse (number of homes)
30,621
36,630
36,630
36,630
Refuse Collected (tons)
45,626
45,626
45,626
46,000
Number of Parks Maintained
48
54
54
56
Number of Landscaped Acres Maintained
14,550
560
560
607
Number of Trees Trimmed
4,100
14,890
15,550
15,550
Number of Vehicles Served
48
3,563
3,600
3,800
2004 -05 2005 -06 2006 -07 2007 -08
Actual Actual Estimated Proposed
Salaries and Benefits
$
8,155,132
$
8,891,618
$
6,819,673
$
9,867,670
Maintenance and Operations
$
10,120,550
$
10,800,632
$
8,417,662
$
12,844,561
Capital Outlay
$
39,835
$
37,928
$
41,447
$
62,100
Internal Service Funds
$
3,565,439
$
4,228,344
$
2,970,761
$
3,954,068
Total *
$
21,880,956
$
23,958,522
$
18,249,543
$
26,728,399
Personnel 124 124 125 127
* Includes Equipment Maintenance and Replacement Fund Expenditures (Internal Service Fund)
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LIBRARY SERVICES
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To serve as the cultural, educational, and
informational heart of the City through the
Central Library and branch libraries
Department Overview
Library Services seeks to serve the Newport Beach community as its most valuable resource for
educational, informational, and cultural enrichment. The Central Library and its three branches,
Balboa, Corona del Mar and the Donna & John Crean Mariners Branch, offer a diverse range of
informational resources, special programs for every age, and public services such as the Summer
Reading Program and Adult Literacy.
The Newport Beach Public Library connects over 880,000 customers with its informational resources.
Over 1.5 million items are checked out of the Library system each year and electronic resources
are available 24/7. A City Council appointed Board of Library Trustees plays a critical role in the
Library's service provision. The Arts and Cultural Services Division of the Library and the City Arts
Commission provide a variety of arts programs and events for the community.
Making the Connection in 2006 -2007
During the 2006 -2007 year, the library focused on making new connections with library customers,
both through the latest technology and personal communication.
Technological connections included updating the Library's website (www.newportbeachlibrary.org)
with a fresh new look and a complete online calendar of events that includes search and email
features that make it easy for library customers to stay connected to library events and news. E-
commerce capabilities were introduced on the website, making it possible to pay fines and fees online.
The addition of new databases, including Standard & Poor's NetAdvantage, and remote access for
Morningstar, has resulted in database hits of over 15,000 per month. The newly added Overdrive
Downloadable Books connection has
already resulted in downloads of more
than 3,000 audio and e- books.
LibraryA Go Go spreads the word about new services
Computer training classes for adults were
expanded and new classes for children
and literacy students were introduced,
using the high -tech training room at the
Central Library.
To make a personal connection with new
customers, the library launched the very
successful Library- A -Go -Go program last
summer. Loaded with Library information,
sunscreen and paperback books,
enthusiastic staff members took to the
streets, parks and beaches to introduce
Newport Beach residents and visitors to
Library resources and services. Outreach to local schools and PTA groups was increased with more
frequent presentations by children's and teen librarians. A Speakers Bureau will begin making
presentations to community groups in the spring.
The community's enthusiasm for the new Donna & John Crean Mariners Branch Library is evident
with a 40% increase in library use. The Balboa and Corona del Mar Branches were painted and re-
carpeted, and all libraries had their collections weeded and updated in 2006 -2007.
The Central Library opened the Childrens' Sun and Sea Discovery Garden outside the Children's
Room and children received their own special "Kid's Card."
Creating New Connections in 2007 -2008
In 2007 -2008, the library will continue to emphasize making the connection with customers by
implementing several new programs and services including "Books by Mail" and the Speaker's
Bureau.
The Library will continue to keep
pace with electronic technology
by adding new databases and
other services that will assist our
customers in procuring business,
educational and entertainment
information.
Plans to relocate the Corona del
Mar Branch to the new Oasis Center
building and adding "Concierge
Library Service' to the Newport
Coast Community Center will make
connecting to the library easier than
ever for Newport Beach residents.
City funds are augmented by support Opening the Children's Sun and Sea Discovery Garden
from the Friends of the Library, the
Newport Beach Public Library Foundation, the Literacy Advisory Council, State and Federal grant
funding, donations from local service clubs and in -kind services from businesses.
Library Services
Staffing: 40 plus 26.06 FTE
$5,797,658'
Information & Reference Services
Youth Services
Central Library and Branches
Adult & Youth Programming
Literacy Services
Support for Board of Library Trustees
Friends of the Library
Newport Beach Public Library Foundation
Literacy Advisory Council
includes Ackerman Fund
Arts & Cultural Services
Staffing: 1
$178,389
Three Annual Juried Art Shows
City Hall & Library Galleries
Arts & Cultural Grants
Concerts in the Park
Cultural Arts Programs
Support for City Arts Commission
Sister City Association
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LIBRARY SERVICES (Continued)
Department Services
The Library, under the direction of the Board of
Library Trustees, provides comprehensive library
services to the community.
The Library responds to customer demands
for informational and recreational resources in
print, electronic, and other non -print formats, and
continues to have increased use of resources. A
wide range of database and informational services
are available from home through the Library's Web
page, www.newportbeachlibrary.org. The Library
provides a strong literacy program funded in part by
donations and state grants.
Adult Programs
Customers connect to Library resources 2417
The Library offers a diverse range of adult programs, monthly concerts, computer training workshops,
special literary and book - related events, the annual Library Foundation sponsored Distinguished
Speakers Lecture Series, and other cultural and intellectual activities. The Library also continues
its outreach to seniors through Homebound Service and book clubs and other services at OASIS.
The addition of downloadable books and a variety of business and educational databases are have
made the library a 24/7 connection for the community.
Children and Teens
The annual Summer Reading Program,
�w
Christmas Puppet Show, Craft Club,
`
children's bookclubs, children'sstorytimes,
afterschool activities, and teen art and
poetry programs, computer training for
kids, and other events for children and
teens continue to draw an enthusiastic
��AWg response and establish the Library as an
important asset to lives of young people
in this community. The Children's Sun
and Sea Discovery Garden gives a new
Children's Summer Reading Program dimension to the Children's Room at the
Central Library and offers the perfect spot
for enjoying summertime reading and outdoor storytimes. In addition, the Library has added several
new databases, including Kids InfoBits and the Testing and Education Reference Center.
76
Arts and Culture
The Arts & Cultural Services
Division supports the City Arts
Commission and the Sister City
Association. Art activities include
exhibits at the Central Library
and City Hall, juried art shows,
Concerts in the Parks, and
Shakespeare by the Sea. The City
Arts Commission annually awards
Cultural Arts Grants to local arts
organizations for performances in
schools, OASIS, and the Library.
The division budget provides funds
for the Sister City Association to
support the student exchange
program, international festivals and
visits from Sister City delegations.
Service Indicators
Library Circulation of Materials
Customers Served
Reference Questions Asked
Program Attendance
Remote Online Users
Juried Shows /Art Exhibits Attendance
Cultural Programs Attendance
Cultural Arts Grants Awards
Sister Cities Grant Awards
Shakespeare by the Sea
2004 -2005
2005 -2006
2006 -2007
2007 -2008
Actual
Actual
Estimated
Projected
1,475,025
1,443,078
1,652,500
1,750,000
885,852
874,854
953,468
985,000
168,999
170,972
187,776
195,000
34,949
44,286
38,040
40,000
202,551
222,806
278,000
300,000
1,850
1,850
1,924
2,000
7,952
7,952
8,634
9,000
$40,000
$40,000
$40,000
$40,000
$11,500
$16,500
$20,000
$20,000
2004 -05 2005 -06 2006 -07 2007 -08
Actual Actual Estimated Proposed
Salaries and Benefits
$
3,510,737
$
3,894,898
$
2,970,596
$
4,333,696
Maintenance and Operations
$
1,547,572
$
1,417,614
$
978,168
$
1,463,642
Capital Outlay
$
114,147
$
100,656
$
41,155
$
124,200
Total Expenditures
$
5,172,456
$
5,413,168
$
3,989,919
$
5,921,538
General Tax Revenue
$
3,953,017
$
4,461,725
$
3,352,937
$
5,531,413
Fees for Services
$
32,392
$
29,292
$
24,702
$
22,625
Intergovernmental Reimbursements
$
354,304
$
426,970
$
448,904
$
240,000
Other Miscellaneous Revenue
$
832,743
$
495,181
$
163,376
$
127,500
Total Revenue
$
5,172,456
$
5,413,168
$
3,989,919
$
5,921,538
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RECREATION & SENIOR SERVICES
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To enhance the quality of life by providing diverse opportunities
in safe and well maintained facilities and parks.
We pledge to respond to community needs by creating quality educational,
recreational, cultural, and social programs for people of all ages.
Department Overview
This past year brought new opportunities and programs, all of which helped to continue to promote
a strong service oriented Recreation & Senior Services Department with a mission of enhancing
the quality of life for the Newport Beach community. In addition, the Department took the lead to
deliver the "Celebration of a Century" with a yearlong Centennial Celebration that culminated with
a grand finale with music, food, activities, fireworks and fun for 30,000+ attendees at the Newport
and Balboa piers!
The Department consists of three divisions:
Administration, Recreation Services, and Senior
Services. Under the guidance of the Department
Director, and leadership of the Parks, Beaches &
Recreation Commission, the Departmentis responsible
for the creation, coordination, and implementation
of recreational and social opportunities that serve a
population ranging from infants to the very active retired
community. In addition, this Department oversees the
use of the City's 66 parks and facilities. The backbone
of the Department's success is the numerous part-time
staff who are out in the field serving the community as
well as the hundreds of volunteers who join us on a
daily basis to fulfill our mission. Their assistance to our
full -time staff creates a solid foundation of a talented,
skilled. and service oriented team.
While Recreation & Senior Services programs feature many direct, one -on -one services, technology
continues to play an increasing role in our ability to provide a wider range of services. The quarterly
Newport Navigator is mailed to each home in the City. The Navigator informs residents about
each Division's services and available fee -based activities, and is available online. Residents are
able to access department program information through our website and register for classes and
programs online. With each new season of classes and activities we continue to see a steady
increase in online customers.
This past year, staff started the "Catch the Healthy Wave" program, which provides incentives
to participants who participate in our City recreation programs through the Newport Navigator or
OASIS Senior Center.
Primary Department Goals for 2007 -08
• Participate in and support efforts for the design and development of Mariners Park,
Marina Park, OASIS Senior Center and Coastal Peak Park
Continue to provide programs through Catch the Healthy Wave, for both Recreation &
Senior Services Divisions
Recreation Services
The Recreation Division offers a wide variety of programs for tots, youth, and adults. These
programs include year -round sports leagues, seasonal swim lessons, and many lifelong learning
and fitness classes. Over 150 contractors provide class instruction that is offered in the Newport
Navigator (quarterly brochure) or umpires for adult sports leagues. Staff over the past few years
have developed a program to audit and receive feedback from contracted instructors and officials
who provide programs.
Trained staff work in the swim programs, after -
school programs, youth recreational sports
programs, and day camps.
The Division is staffed with eight full -time recreation
professionals and up to 50 part-time staff such as
recreation leaders, recreation clerks, lifeguards and
swim instructors. The Division also includes three
full -time field and building maintenance workers,
and one full -time department assistant.
City operated youth sports programs attract
over 1000 children annually and Youth Sport
Organization Members such as youth soccer and
baseball serve over 6000 youth annually.
The Division sponsored annual special events include
a Surf Contest, Corona del Mar Scenic 5K, Sunday
Fun -Day, Winter Wonderland, Rent -A- Santa, Special
Olympics Basketball, Rose Parade Excursion, Arbor
Day, Flashlight Egg Hunt, and the Independence Day
Parade and Picnic. Over the past three years, many
of these programs have tripled in size from enhancing
the event and better marketing to residents.
Picnic areas, fields, and meeting rooms are available
for reservation and staff processes over 1000 requests
each year. There are over 30 playgrounds throughout
the City for children ages 2 -12. In the coming year this
Division continues the refurbishment of some park sites with new playground equipment and play
surfaces. The playground maintenance /inspector staff will concentrate on making the existing
playgrounds look better and last longer. The Division is also the coordinator of Special Event
Permits for the City of Newport Beach and processes over 320 permits per year for events large
and small.
Recreation Services Goals
• Implement the Marketing Plan for the Department
• Continue to raise the quality of customer service, instruction and safety in programs
which includes more participate evaluations, audits of contracted instructors /vendors
and facility audits
• Raise the level of service expectations in contracted officials and instructors through
audits and trainings
• Provide additional Park Patrol services to meet the increased demand
• Open and manage a successful balance of programming and operations at the
Newport Coast Community Center
79
RECREATION & SENIOR SERVICES (Continued)
Senior Services
The Senior Services Division is responsible for the
operation of the OASIS Senior Center as well as
numerous activities that reach out to our senior
population. The goal of this Division is to provide older
adults with activities and services that enrich their lives,
prevent isolation, and provide them with a purpose in
life.
The Senior Services Division provides a variety of
services which enhance the lives of seniors creating
positive and successful aging experiences. The Division
accomplishes this by providing programs and activities
which address the older adults' evolving needs. Staff
stays current on programming activities that are most
helpful to the senior population by assessing needs
and welcoming senior participation in program ideas. The Senior Services Division has been
successful at meeting the challenge of the ever - changing needs of older adults and developed
activities that are intellectually stimulating and physically active.
This coming year the focus of this Division will turn toward the future. The Division has completed
a large scale needs assessment which had a very high rate of return. We were happy to see that
many community members took the time to fill out the survey. This information will assist us as we
look to begin the process of replacing the senior center with a new facility designed to meet the
growing and changing needs of our senior population. We are working with an architect to provide
us with the first step toward building a state -of- the -art senior facility that will address the needs of
both the current and future senior populations. In addition, we will focus on establishing a Health
and Wellness program that will motivate seniors to take control of their health. Seniors will be able
to participate in activities that will educate them as well as provide incentives to exercise.
OASIS enjoys the assistance of over 100 volunteers who work daily in the various programs and
activities. These dedicated individuals provide an invaluable service to the Center and log an
average 1200 hours of service a month while at the same time they are providing purpose to their
lives.
The OASIS Senior Center is fortunate to have a dedicated non - profit group, the Friends of OASIS
who support the efforts at the Center to offset the costs to provide services. The Friends continue
to provide a $50,000 donation to the City for the transportation program as well as with many
entertainment expenses.
The staff at OASIS have relationships with many community organizations in order to enhance
and expand the services provided to the community, which include: South County Senior Services,
OC Department of Health, Coastline Community College, University of California Irvine, Hoag
Hospital, Braille, Health Insurance Counseling and Advocacy Program, and OCTA.
Senior Services Goals
• Work with the Architect to insure that the design of a new facility is in accordance with the
needs and desires of the currently users and staff
•
Workwith the newlyformed Newport Beach OASIS Senior Center Building Fund Committee
as they begin a capital campaign to raise money to rebuild the Senior Center
80
Recreation & Senior Services Department
Administration
Staffing: 3 plus .5 FTE
$520,849
Front Office and Public Counter Services
Fiscal Services
Web Site and Online Registration
Parks, Beaches & Recreation Commission Support
Recreation Services
Staffing: 14 plus 20.15 FTE
$4,521,962
Youth Programs /Sports
Aquatic Programs
Adult Sports
Special Events
City Youth Council
Playground /Park Development
Special Event Permits
Youth Sports Commission
Field /Facility Maintenance
Facility Management/Reservations
Contract Classes
Marketing and PR
Park Patrol
Newport Coast Community Center
Senior Services
Staffing: 10 plus. 13 FTE
$1,017,406
Recreational Programs
Educational Classes
Congregate and Home Delivered Meals
Transportation Program
Outreach Services
Family Support
Special Events
Information and Referral
Facility Management/Reservations
Service Indicators
2004 -2005
2005 -2006
2006 -2007
2007 -2008
Human Services
Actual
Actual
Estimated
Projected
Recreation Services
11,936
12,628
13,000
13,000
Special Event Permits
321
320
320
320
Facility Rentals
1,128
1,158
1,200
1,400
Recreation Program Attendance
319,546
324,127
325,000
335,000
Co- Sponsored Youth Organizations
194,749
194,722
201,258
202,000
Senior Services
Programs /Classes
79,683
77,118
80,000
80,000
Human Services
21,450
18,399
20,000
20,000
Transportation Services
11,936
12,628
13,000
13,000
2004 -05
Actual
2005 -06
Actual
2006 -07
Estimated
2007 -08
Proposed
Salaries and Benefits
$ 1,978,082 $
2,431,541 $
1,904,436
$
3,018,749
Maintenance and Operations
$ 1,896,206 $
2,071,165 $
1,771,974
$
2,963,719
Capital Outlay
$ 21,245 $
26,711 $
32,489
$
77,750
Total Expenditures
3,895,533
4,529,417
3,708,899
$
6,060,218
General Tax Revenue
$
1,911,588
$
2,381,378
$
1,456,286
$
3,110,418
Fees for Services
$
1,910,945
$
2,066,315
$
2,165,753
$
2,860,800
Other Miscellaneous Revenue
$
73,000
$
81,724
$
86,860
$
89,000
Total Revenue
$
3,895,533
$
4,529,417
$
3,708,899
$
6,060,218
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PUBLIC WORKS
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To provide quality, cost effective public works
and services to the community of
Newport Beach
Department Overview
The Department of Public Works is responsible for the planning, design, and construction of
the City's roads, intersections, bridges, sidewalks, storm drains, traffic signals, water quality
and environmental improvements, piers, water and sewer systems, street lighting, public
building facilities, and parks. The Department also protects public property from unpermitted
encroachments, ensures the safe construction of private parties working in the public right -of -way,
and reviews plans for residential and commercial development as they relate to the public right of
way. Public Works adds quality and safety to our lives through the use of engineered controls and
measures such as traffic signals, signage, and pavement maintenance.
Corona del Mar State Beach Improvements
Santa Ana Heights Fire Station
Primary Goals
• Meet the current and future needs of infrastructure, services, and resources for citizens and
visitors
• Coordinate the implementation of Capital Improvement Program projects
• Design, construct and sustain the City's infrastructure in an efficient and innovative manner,
including replacement, renovation and improvements to roads, bridges, intersections, traffic
signals, street lighting, water and sewer systems, water quality measures, neighborhood
traffic calming structures, parks, docks, piers, beach facilities, and public buildings
• Provide outstanding customer service and engineering expertise to the public, other
departments and outside agencies
• Promote team spirit and pride through our actions and activities
• Encourage continuous employee assessment and development programs
• Facilitate the flow of information by maintaining a records management system
Utilities Undergrounding
The Organization
Public Works is comprised of three divisions: Administration, Engineering Services, and Transportation
and Development Services. The Public Works Team currently consists of 33 dedicated full time
employees. To accomplish the department's mission, staff manages a combination of contract
employees, consultants and contractors to deliver projects and services.
Administration
Staffing: 6 plus .72 FTE
$782,413
Engineering Services Transportation & Development Services
Staffing: 17 plus 1.26 FTE Staffing: 10 plus .85 FTE
$2,418,096 $1,881,874
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PUBLIC WORKS (continued)
Administration provides financial and support management services for the Public Works
Department. Areas of responsibility include:
• Strategic planning and organizational development
• Budget development and administration
• Capital Improvement Program plan preparation and management
• Contracts administration
• Customer service and communications
• Permit issuance for encroachments and temporary street closures
• Centralized clerical services and process controls
• Personnel administration, training, and payroll processing
• Records management
• Geographical information systems
Newport Boulevard Bioswale
84
Engineering Services serves as the City's infrastructure resource to the public and other city
departments using engineering expertise to solve problems and improve the quality of life for the
community. Areas of responsibility include:
• Preparation and maintenance of short and long term master plans for critical public
infrastructure systems including water, sewer, storm drain, water quality, pavement
management, and building facilities
• Capital Improvement Program implementation including planning, design, construction,
and inspection of the City's major capital improvement projects
• Processing feasibility and environmental studies and various permit applications
• Preparation of plans, specifications, cost estimates, and as -built drawings
• Right -of -way acquisition
• Utilities coordination
• Preparation of local, State and Federal funding applications and grant administration
• Public outreach through community workshops and publications
Ocean Pier Repair
Transportation and Development Services serves as the development and traffic engineering
resource to promote a safe and efficient transportation system and to help property owners,
developers, utilities, other city departments, and public agencies accomplish their goals while
protecting the integrity and quality of the public right -of -way for current constituents and future
generations. Areas of responsibility include:
• Traffic engineering, transportation planning, and coordination of traffic studies
• Traffic signal systems operations
• Neighborhood traffic calming programs
• Subdivision engineering, surveying, and mapping
• Plan check and coordination services for residential and commercial building, land
use and development activities and projects
• Assessment district administration for utilities undergrounding
• Permitting for encroachments in the public right -of -way
BY!
PUBLIC WORKS (continued)
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Back Bay Science Center
Recent Accomplishments
One of the key functions of the Public Works Department is the design and construction of
the City's major capital projects. In fiscal year 2006 -2007, several important projects were
completed including:
• Corona del Mar State Beach Improvements
• Balboa Village Phase III
• Balboa Island Bayfront Repair
• Bay Avenue Area Drainage Improvements
• Irvine Terrace, Ocean Vista and Orange Street Water Main and Valve Replacement
• Fire Station No. 6 Gender Modifications
• Police Department Office Modifications
• Police Facility Perimeter Security Fencing
• Corporation Yard Building W
• Ocean Pier Repairs and Inspection
• Jamboree Road Rehabilitation — University Drive to South Bristol Street
• Jamboree Road Rehabilitation — San Joaquin Hills Road to Ford Road
• Bristol Street North Street Rehabilitation — Campus Drive to Jamboree Road
• Placentia Avenue and Hospital Road Street Rehabilitation
• Newport Shores Alley Replacement
• Sidewalk, Curb and Gutter Replacement Program (2005 -2006)
• Citywide Slurry Seal Program (2005 -2006)
• Malibu Circle Slope Repair
• Newport Boulevard Right Turn Lane at Hospital Road
• Newport Boulevard Bioswale
2004 -05 2005 -06 2006 -07 2007 -08
Actual Actual Estimated Proposed
Salaries and Benefits
$
3,345,553
$
3,723,059
$
2,627,161
$
4,180,147
Maintenance and Operations
$
692,495
$
813,474
$
608,419
$
871,136
Capital Outlay
$
18,875
$
24,647
$
6,455
$
31,100
Total
$
4,056,923
$
4,561,180
$
3,242,035
$
5,082,383
Key Challenges in FY 2007 -2008
The City continues to undertake an ambitious and wide- ranging Capital Improvement Program
(CIP). From a service standpoint, Newport Beach poses extraordinary opportunities and
challenges. The City's development is mostly built -out and established. We are charged with
maintaining and protecting unique features that come with a harbor, miles of beaches, and the
Back Bay. We are also subject to greater environmental scrutiny and regulatory processes
to maneuver. Newport Beach is not a "grid" city like many of our neighbors. With limited
alternative routes, construction on main arterials must be done with care and sensitivity to the
traveling public. Numerous projects take place in tight quarters, such as Balboa Peninsula,
Balboa Island, Lido Isle, and Old Town Corona del Mar. Minimizing disruptions to the
public requires special attention to phasing and peak hour restrictions that can slow project
completions and add complications and costs. Work schedules are further complicated by
seasonal restrictions dictated by environmental regulations, community special events, and
weather cycles. Funding availability and grant requirements also impact the timing of work
plans. Our City's responsiveness to problems and quick action to resolve them is a highly
prized attribute of the organization. However, this activity allows project scopes to grow and
new projects are regularly added into the current program. Our projects delivery team of
engineers, support staff, and consultants are tasked with managing greater workloads while
maintaining high quality standards. Creative project management solutions and alternative
project delivery methods will play a key role in our future success.
Traffic signal system improvements continue to have a high priority. This year, we are
embarking on a multi -year program to modernize and update the City's traffic signal system.
The resultant updated system will allow the flexibility to implement real time adjustability
and improve the efficiency of our system during peak hours, special events, construction
activities, and emergencies.
Training, retaining, and selecting top team members, both in -house and from the private
sector, is becoming increasingly more difficult and more important as Baby Boomers retire
in greater numbers and the pool of experienced professionals continues to shrink. Creative
and innovative recruiting along with competitive compensation and benefit packages will be
required to attract and retain high quality professionals in this highly competitive market.
The CIP planned for FY 2007 -08 is described in more detail in the section of this document
entitled Capital Improvements.
Public Works - Serving You 2417
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UTILITIES DEPARTMENT
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To provide quality, cost effective utility
services to the community of
Newport Beach
Annual Department Goals
Meet the current and future needs for infrastructure, services, and resources for citizens and
visitors.
• Provide the City a safe and reliable water supply.
Operate and maintain the City's water, wastewater, oil and gas, and street lighting systems in an
efficient and innovative manner.
• Provide outstanding customer service and education to the public, other departments, and
agencies.
Promote team spirit and pride through our actions and activities.
• Encourage continuous employee assessment and development programs.
Facilitate the flow of information by maintaining a records management system.
Department Organization
The Utilities Department is responsible for providing water service, wastewater collection, oil and
gas production, electrical services, and street lights to the citizens of Newport Beach. Water is
delivered to the tap, wastewater is transported for treatment, and streets and beach parking lots
are made safer with lighting. The Utilities Department has four divisions: Electrical, Oil & Gas,
Water, and Wastewater.
The Electrical Division staff of five field
personnel is responsible for the maintenance and
operation of electrical services at all City facilities.
These facilities include park sites, community
buildings, water and sewer pump stations, oil
wells, emergency generators, and over 6,000
street and parking lot lights. Staff responds to
over 1,500 service requests each year.
The Oil & Gas Division provides contract
administration and oversight for a small oil tank farm
consisting of 16 wells in West Newport Beach. The
operation and maintenance of the oil operation is
out sourced. Natural gas is a by- product of the oil
production and is sold to Hoag Hospital.
The Water Division, which consists of four
sections (Water Maintenance and Repair, Water
Meters, Water Production, and Water Quality),
delivers water from both local and imported
sources. A staff of 28 field personnel operates
the pumps, reservoirs, and pressure reducing
stations, performs water testing, provides meter
reading services, responds to customer service
requests, and performs year -round preventative
maintenance of 2,725 fire hydrants, 7,813 shut-
off valves, over 215 miles of transmission mains,
and 82 miles of distribution mains.
The Wastewater Division staff of 13 field
personnel operate 20 pump stations and maintains
over 200 miles of wastewater collection system that
transports the City's wastewater to the County's
trunk system for treatment at the Huntington Beach
plant. The Wastewater Division's closed circuit
television unit is working towards video taping
the 200 miles of sewer main by 2008 to meet the
General Waste Discharge Requirements for the
State of California.
01
UTILITIES DEPARTMENT (continued)
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Service Indicators
Electrical
Miles Street Light Cable Installed /Pulled
Street Light Devices Replaced
Emergency Responses
Number of Service Calls
Barrels of Oil Produced
MCF` of Gas Produced
Barrels of Water Injected
Water
Acre Feet" Water Purchased /Produced
Acre Feet of Reclaimed Water Used
Number of Fire Hydrants Serviced
Number of Water Meters Read
Number of Main Breaks
Number of Service Calls
Wastewater
Miles of Pipe Cleaned
Miles of Pipe Video Taped
Number of Dig Outs
Number of Service Calls
"MCF = one thousand cubic feet
"'Acre Foot = 325,850 gallons
2004 -05
2005 -06
2006 -07
2007 -08
Actual
Actual
Estimated
Projected
592
783
1,053
1,200
5
5
6
4
893
906
850
900
70
63
60
50
1,017
1,052
1,100
1,128
33,154 34,255 34,593 34,300
16,112 13,897 13,728 13,800
404,274 396,527 359,246 396,500
17,640
17,557
17,610
18,000
251
249
250
254
592
783
1,053
1,200
78,143
78,206
78,213
78,162
7
8
5
5
526
513
496
530
205
335
226
241
7
11
12
13
77
76
80
84
410
485
452
449
Budget FY07 -08
Wastewater Electrical
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Water
78%
Electrical
Staffing: 4 plus .5 FTE
$1,215,730
City Facilities Electrical Service
Recreational Field Lighting
Parking Lot Lighting
Street Lighting
Water
Staffing: 36.25 plus 6.25 FTE
$15,096,940
Water Production
Water Quality
Systems Services
Meter Reading
Reclaimed Water
Customer Service & Education
Water Maintenance & Repair
Underground Service Locating
Oil & Gas
Staffing: 0
$601,259
Oil Production
Gas Production
Oil & Gas Remediation
Wastewater
Staffing: 13.25 plus 1.75 FTE
$2,639,889
Sewer Main Cleaning
Sewer Mainline Repair
Pump Station Maintenance
Sewer Lateral /Cleanout Replacement
2004 -05 2005 -06 2006 -07 2007 -08
Actual Actual Estimated Proposed
Salaries and Benefits
$
4,867,761
$
5,120,703
$
3,878,962
$
5,579,606
Maintenance and Operations
$
12,858,497
$
12,303,939
$
9,369,779
$
13,903,562
Capital Outlays
$
85,166
$
32,984
$
24,924
$
70,650
CIP
$
7,703,436
$
10,948,359
$
3,848,000
$
3,023,000
Total Expenditures
$
25,514,860
$
28,405,985
$
17,121,665
$
22,576,818
Charges for Services
$
19,559,777
$
19,432,000
$
20,550,000
$
21,671,415
Intergovernmental
$
788,188
$
805,393
$
-
$
-
Use of Money & Property
$
363,206
$
472,538
$
790,000
$
829,500
Sales of Oil & Gas
$
1,301,532
$
1,355,000
$
1,055,000
$
1,306,650
Other Revenue
$
125,905
$
18,000
$
23,000
$
19,184
Transfer (To) From Reserves
$
3,376,253
$
6,323,054
$
(5,296,335)
$
(1,249,931)
Total Revenue
$
25,514,860
$
28,405,985
$
17,121,665
$
22,576,818
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CITY OF NEWPORT BEACH
2007 -2008 RESOURCE ALLOCATION PLAN
DESCRIPTION OF INTERNAL SERVICE FUNDS
The City continues to provide for the financing of certain functions through the use of Internal
Service Funds (ISF). The purpose of these funds is to facilitate the management of some types of
expenditures on a centralized, as opposed to decentralized (by department) basis, without losing
the visibility of each Department's share of the overall cost. Each Department has been required
to budget for the cost of these functions at a pre- determined rate, as opposed to attempting
to project actual costs at the Department level, which would be required if there was no ISF
mechanism. Funds are then collected from each Department at the pre- determined rate by the
Internal Service Fund during the course of the year. All actual expenditures for the function in
question (for the City as a whole) are then made from the Internal Service Fund. The City has
established four Internal Service Funds — Insurance Reserve Fund, Retiree Medical Insurance
Fund, Compensated Absences Fund, and Equipment Maintenance and Replacement Fund.
Insurance Reserve Fund. The Insurance Reserve Fund is used to payall Workers' Compensation
and General Liability expenses of the City. This includes insurance premiums, consultant fees,
medical expenses, contract attorney costs, payments for judgments and settlements, and all
other expenses connected with this function. The amounts paid into this Fund by the individual
Departments vary. Each Department's budget base for Liability expenses was established by
examining a ten -year history of claims and determining each Department's appropriate share,
based on the nature of the claims themselves. That share was then used to establish each
Department's percentage of the funding being set aside in the Insurance Reserve Fund for
anticipated Liability expenses this year, and to address at least part of any reserve deficiencies.
This year's contribution by departments, which constitutes revenue to the ISF, is projected to
be $3,328,697. This should constitute sufficient resources to fund short term expenditures and
accumulate resources to pay long -term claims.
Each Department's share of the City's anticipated Workers' Compensation expenses was
determined by an analysis of claims history by labor class in Newport Beach as compared
to the same information for the State as a whole. Based on this data, appropriate rates were
established for each labor class in the City. These rates were then used to determine the budget
base needed in each Department to accumulate the total anticipated Insurance Reserve Fund
requirement to pay all Workers' Compensation claims and related expenses for this budget year
(approximately $2,496,241). Similar to the situation with Liability, there is an accumulated deficit
for Workers' Compensation. Therefore $3,199,421, or a projected excess of $703,180 is being
collected to cover the deficit.
Retiree Medical Insurance Fund. In January 2006, the City has implemented a new defined
contribution Retiree Medical Insurance Fund instead of the priordefined benefit program which will
ultimately reduce the City's long -term liability for this program. The transition to the new program
will take an estimated twenty years or more to fully implement, but our operating expenses will
eventually be capped as we will only need to fund contributions for current employees and the
City's unfunded liability will be zero. The contribution amount is based on a formula currently
provided for in the Memorandum of Understanding between the City and the employees.
PINA
Compensated Absences Fund. Departmental payments into the Compensated Absences
Internal Service Fund are based on a percentage of salary. That percentage is set at a level
which will accumulate a sufficient monetary base within the fund to accommodate current year
expenses. This year's contribution level is 3.5% of salary resulting in a budgeted amount of
$2,104,243. Any amounts collected in excess of the annual expense, reduce the long -term
unfunded liability in this fund.
Equipment Maintenance and Replacement Fund. The Equipment Maintenance and
Replacement Fund is used to provide funding for the maintenance of almost all of the City's fleet
of Rolling Equipment, and to accumulate funds for the eventual replacement of that equipment.
Based on the City's maintenance experience, anticipated equipment life span, and projected
replacement costs, rates were established for each class and type of equipment. These rates
function much like vehicle rental rates from the perspective of the using Departments.
Funds for replacement and for maintenance remain segregated. Maintenance funds are used
to fully fund the General Services Equipment Maintenance Division, including the Auto Parts
Warehouse, and certain other General Services Department overhead expenses which are
directly attributable to rolling equipment maintenance, but are contained in the budgets of other
divisions. Each Department Budget unit's share of this cost, based on the equipment it has in
service, is contained on line 8022 of the respective M &O budget sheets. The Police Department
has their own equipment replacement and maintenance program including a Police Fleet
Maintenance Division.
Recommendations for rolling stock replacement are made by each Department to the City
Manager through the General Services Director. The City Manager then includes his final
recommendation for Equipment Replacement action to the City Council as part of the annual
budget submission. Money accumulated in the Equipment Replacement portion of this Fund can
only be used for equipment replacement unless specifically reprogrammed by the City anager.
Each Department Budget unit's "contributions" to this fund, based on the equipment it has in
service, can be found on line 8024 of the respective M &O budget sheets.
For Fiscal Year 2007 -2008, City expenditures from Internal Service Funds are projected as
follows:
Equipment Debt Service,
Equipment Replacement,
$49,820 Workers' Compensation *, $2,418,700 $2,496,241
Equipment Mainte
$2,049,368
Liability*, $2,950,259
Compensated Absences, -�
$1,206,000 Retiree Medical Insurance *,
$3,133,000
*Includes legal services, insurance premiums, contract administration, claims & settlements,
and payments to providers of medical service.
93
CITY OF NEWPORT BEACH
2007 -2008 RESOURCE ALLOCATION PLAN
DEBT SERVICE & OTHER ACTIVITIES
Most of the City budget is dedicated to a one -year operating plan for each department. However,
certain budgetary components do not fit within this definition.
Capital Improvement Projects (CIP) and debt service expenditures benefit more than one
operating period. Since CIPs may have significant useful lives, expenditures are deemed to
benefit both the current and future operating periods while debt service expenditures are deemed
to benefit current, future, and past operating periods. An entire section of the budget document is
dedicated to CIP expenditures; however Debt Service expenditures can be adequately covered
within this section.
Some proposed expenditures in the budget only benefit the current operating period but do not
readily fit within the operating plan of any one department and /or its funding source cannot be
relied upon to fund routine department operations. For lack of a more descriptive term, we often
refer to non - departmental expenditures of this nature as other activities.
Debt Service Expenditures
Since the City does not issue debt instruments to finance operating activities, Debt Service
Expenditures are the result of capital financing ventures. There are two principal reasons why
debt instruments are issued. The first circumstance is when the cash flow for the construction or
purchase of a long -term asset would cause a significant strain on the City's cash flow and the
asset to be financed will benefit many service periods. In no instance would the City select the
duration of a given debt instrument to extend beyond the expected life of the asset financed. The
second scenario arises when an asset to be purchased may not cause a significant cash flow
strain but it would be economically advantageous to finance the asset rather than to purchase it
outright (e.g. occasionally the City can borrow money at a lower rate than its investment portfolio
is earning).
Library Certificates of Participation (COPS)
In 1992 the City issued $7.5 million in COPs to finance the construction of the Central Library. The
issue was subsequently refinanced in 1998 to reduce total debt service payments that resulted
in an economic gain of $495,745. The Refunded Certificates Principal payments range from
$245,000 to $535,000 from June 1, 2000 through June 1, 2019, at an interest rate ranging from
3.60 percent to 5.15 percent and are serviced by the General Fund. The Certificates outstanding
at June 30, 2007, amounted to $4,980,000.
Boating and Waterways Loan
The City also has a loan from the California Department of Boating and Waterways forthe purchase
and rehabilitation of the Balboa Yacht Basin. The original loan in 1987 was for $3,300,000. This
loan is payable in thirty annual installments of $237,062 at a 4.50 percent rate of interest, which
M1
began on August 1, 1987. The outstanding balance at June 30, 2007, amounted to $1,469,202.
The loan is funded entirely by Tide and Submerged Lands Fund revenue sources.
Office Equipment Leases
The City occasionally enters into lease- purchase agreements to finance the acquisition of
copiers, computers, telecommunications or other office equipment and upgrades. The terms of
the leases normally range from three to five years and are typically payable monthly. Currently
there are no outstanding leases of this nature. Debt of this nature is serviced by whichever fund
derives the benefit of the equipment. In most circumstances the General Fund enjoys the benefit
of office equipment purchases of this type and would therefore service this debt.
Rolling Stock Leases
Most City vehicle purchases do present a cash flow challenge and are therefore purchased
outright except when financially advantageous conditions exist. However, the City does own and
operate some rolling stock including fire engines, ladder trucks, vactor trucks and other heavy
equipment that can be several hundred thousand dollars pervehicle. These items are periodically
financed through lease- purchase agreements. The interest rates on these obligations range from
3.04 percent to 5.21 percent. Rolling stock capital lease obligations at June 30, 2007, amounted
to $49,490. Since the City accounts for all rolling stock activity in a central cost center (internal
service fund), debt service payments for all rolling stock related debt is serviced from this fund.
However, this central cost center does distribute all vehicle related costs (including acquisition
and financing costs) in the form of a maintenance and replacement charge to the organizations
that benefit from the vehicle.
Water Revenue Bonds
In 1995, the City issued $17,100,000 of water revenue bonds to finance the construction and
acquisition of groundwater storage and transmission facilities. This debt was refinanced July 1,
1998 for an economic gain of $418,469. The bonds are secured by a pledge of net revenues
of the Water Fund. The bonds bear interest ranging from 3.60 percent to 4.50 percent. Semi-
annual debt service payments are payable on February 1 and August 1 (totaling $1.6 million per
annum). At June 30, 2007, the outstanding balance was $4,540,000.
Newport Coast Special Assessment District Relief
Because the Newport Coast area was not incorporated into the City limits when much of the
public improvements that serve this area were constructed, the improvements were financed by
private property special assessments. Had the Newport Coast area been incorporated within the
City limits at the time the improvements were constructed, the City would have likely participated
in funding much of the public improvements. Before this area was officially annexed into the City
limits, the City entered into a pre- annexation agreement with the Newport Coast Committee of
2000 where the City agreed to reimburse residents and thereby reduce the cost of certain private
property special assessments. As a part of the pre- annexation agreement, the Irvine Ranch
Water District (IRWD) transferred $25 million to the City in exchange for the right to continue to
provide water utility service to this area. With this $25 million from IRWD, the City will reduce the
special assessment levies by $1.2 million a year for 15 years and dedicate $7 million toward the
construction of a community center. At June 30, 2007, $12,000,000 was outstanding.
95
Community Development Block Grant (CDBG) Loan
The CDBG program is a federal revenue source that is restricted to programs and projects that
benefit low and moderate income areas. In August of 2002, the City was granted a $2.4 million
loan that is secured and will be repaid by future block grant allocations to partially finance the
Balboa Village improvements. Commonly known as a "Section 108 Loan," this loan will be repaid
over 20 years in $215,000 installments. As of June 30, 2007, the outstanding balance of this loan
was $2,134,000.
Debt Service Estimates
2007 -2008
Year of
Original Balance Balance Total Principal Final
Issuance 07/0112007 Additions Deletions 0613012008 Payments Interest Paid to Date Payment
Rolling Stock Leases
1,700,049
49,490
- (49,490)
-
49,820
330
1,700,049
2008
Water Revenue Refunding Bonds
14,225,000
4,540,000
- (1,445,000)
3,095,000
1,613,833
168,833
11,130,000
2009
Balboa Marina Loan
3,457,930
1,459,202
- (170,948)
1,298,254
237,062
66,114
2,159,676
2016
Pre - Annexation Agreement
18,000,000
12,000,000
- (1,200,000)
10,800,000
1,200,000
-
7,200,000
2017
Refunding Library COP
7,330,000
4,980,000
- (315,000)
4,665,000
564,480
249,480
2,665,000
2019
Section 108 Loan
2,400,000
2,134,000
(78,000)
2,056,000
193,482
115,482
344,000
2024
Total Debt Service
47,112,979
25,172,692
(3,258,438)
21,914,254
3,858,677
600,239
25,198,725
Other Activities
Asset Forfeiture Funds
Funds derived from the City's participatory share of State and Federal assets seizures are
accounted for separately from other funds due to special restrictions placed on the use of these
proceeds. These funds can only be used to supplement but not subsidize law enforcement
activities. Therefore, this funding source is not used to fund regular departmental operations.
Supplemental Law Enforcement Service Fund (SLESF)
State Assembly Bill 3229 provides funds to the City to be used exclusively for front line law
enforcement services. The Bill stipulates that SLES funds are to be segregated and used to
increase policing efforts and not be used to supplement departmental operations.
Air Quality Management District Funds (AQMD)
State Assembly Bill 2766 provides cities with a modest annual budget to encourage the reduction
of air emissions. The City uses its AQMD funds to support the employee rideshare program and
to subsidize the cost of the electric vehicles used to supply City services.
96
Ackerman Donation
The City is the beneficiary of lease proceeds of certain commercial property donated by the Carl
Ackerman Family Trust. The property was given to the City subject to a December 18, 1992,
15 -year lease. The lease gave the lessee an option to purchase the property and sets out in
detail the method to exercise the option, the option price, and conditions of the purchase. On
August 8, 2003, the lessee exercised the option to purchase in the amount of $1,940,000. As a
condition of the lease, 60 percent of the proceeds were paid to the University of California, Irvine
Foundation and the City is required to create a permanent endowment with the remaining 40
percent. Interest earned from the endowment will be accounted for and used to purchase high
tech library equipment and for a City administered scholarship program.
Environmental Liability Fund
As part of the City's franchise agreements with commercial solid waste haulers, the City
collects 5.50 percent of their gross receipts that are set aside to defray the cost of any legal
or environmental costs that might arise connected with the collecting, hauling and dumping of
waste originating within the City. These funds are used to provide the City with environmental
liability insurance and to conduct waste related environmental assessments.
97
��
U
CAPITAL IMPROVEMENTS
The City of Newport Beach Capital Improvement Program (CIP) serves as a plan for the provision
of public improvements, special projects, on -going maintenance programs, and the implementation
of the City's master plans. Projects in the CIP include improvements and major maintenance on
arterial highways, local streets, and alleys; storm drain and water quality improvements; bay,
pier, and beach improvements; park and facility improvements; water and wastewater system
improvements; transportation safety and traffic signal improvements; and planning programs and
studies.
2007 -2008 Capital Improvement Projects by Fund
(Includes Rebudgets)
Water Enterprise
5%
Wastewater Enterprise
3%
Tide & Submerged Lands
6%
General Fund
23%
Gas Tax
11%
Building Excise Tax CIOSA/Environmental
1% Liability
5%
Transp. & Circul./Traffic
— Congestion Relief /CDBG
4%
Contributions
9%
Santa Ana Heights Projects
21%
Arterial Highways
Rehabilitation Program
2%
Measure M Transportation
Funding
10%
The FY 2007 -08 CIP consists of over 100 projects representing over $22 million in new
appropriations and nearly $14 million in rebudgeted funds. The CIP was developed with input
from all City departments, citizen input, and City Council members who identified needs in their
QsZC
respective areas. The individual project requests were compiled by each department and then
submitted to the Public Works Department in early 2007. The projects were prioritized and
summarized by available funds and reviewed by the Public Works Director. A Public Works CIP
review team then met with representatives from each Department to discuss funding priorities.
The projects recommended for approval were presented to the City Manager in March and
were again discussed with each Department Director. The process was finalized in April and
packaged for distribution to the City Council.
Funding of the capital projects, including preliminary estimates for projects to be rebudgeted,
is derived from multiple funding sources, and is shown in the chart on the preceding page.
Projects are organized by primary function or benefit into one of the following categories: Facilities;
Streets and Drainage; Traffic; Parks, Harbors and Beaches; Water Quality and Environmental;
Water: Wastewater: and Miscellaneous.
Highlights of the new appropriations are presented by category as follows:
Facilities
Projects organized under Facilities include construction, rehabilitation and repair of City buildings
and facilities. Major projects within this category approximate $2 million and include:
• Repairs and improvements to various public safety facilities, including the police facility,
fire stations, and lifeguard headquarters ($1,405,400)
• Repairs and improvements to other City facilities, including the Corporation Yard, Oasis
Senior Center, Community Youth Center, and Little Corona restroom ($467,350)
• Other capital purchases, including Central Library generator, Central Library HVAC,
and City Hall carpeting ($105,300)
Streets and Drainage
Projects organized under Streets and Drainage include construction, rehabilitation and repair of
City roads, medians, bridges, sidewalks, streetlights, storm drains, tide structures, and parking
lots. Projects within this category exceed $12 million and major highlights include:
Street and alley construction and rehabilitation, including Superior Avenue
Rehabilitation, Eastbluff Drive Rehabilitation, Corona del Mar south of Coast Highway
Rehabilitation, Birch Street Rehabilitation, Balboa Village Alley Replacement, and
Irvine Avenue Realignment ($6,126,700)
• Bridge improvements ($1,997,200)
• Sidewalk improvements ($1,455,100)
101
• Slurry seal projects ($1,301,000)
• Storm drains and tide structures ($635,000)
• Median and landscape improvements ($605,000)
Streetlighting ($240,000)
Traffic
Projects organized under Traffic include traffic signal system maintenance and improvements,
neighborhood traffic management, pedestrian improvements, and signage. Projects within this
category approximate $4 million and major highlights include:
• Traffic signal modernization ($1,841,285)
Other traffic signal installation, maintenance, and improvements ($636,000)
• Signs ($630,000)
Pedestrian improvements ($549,100)
• Neighborhood traffic management and studies ($295,000)
Parks, Harbors and Beaches
Projects organized under Parks, Harbors, and Beaches include improvements or repairs to the
City's parks, harbors, docks, wharfs, piers, and beaches. Projects within this category exceed
$5 million and major highlights include:
• Park improvements, including Mariners Park improvements, Sunset Ridge Park design,
Newport Center Park, Santa Ana Heights passive park, park lighting at Buffalo Hills,
Bonita Creek and San Miguel parks, tennis court fencing and playground equipment
($3,416,500)
Harbor improvements, including public docks access improvements, Rhine Wharf
Channel Public Dock, and Rhine Wharf Channel repair ($945,000)
Beach improvements, including sand replenishment, eelgrass mitigation, beach
observation camera system, and pier repairs ($977,000)
Water Quality and Environmental
Projects organized under Water Quality and Environmental include studies, improvements, and
programs that benefit the City's natural resources. Projects within this category approximate
$2.5 million and major highlights include:
Semeniuk Slough dredging ($650,000)
• Newport Terrace Landfill gas remediation ($635,000)
102
• Runoff reduction and irrigation improvements ($570,000)
• Buck Gully Maintenance Road and Wetlands project ($250,000)
• Various studies, assessments, and restoration projects ($370,000)
Water and Wastewater
Projects organized under Water and Wastewater are funded from respective service charges and
are used for the rehabilitation and expansion of these services. Projects within these categories
exceed $2.5 million and major highlights include:
• Water transmission and water main improvements ($1,464,000)
• Water well rehabilitation ($150,000)
Sewer force main and lateral improvements ($650,000)
• Sewer pump station improvements ($334,000)
Miscellaneous
Projects organized under Miscellaneous are ones that do not fit into any other category
and include capital purchases and special projects. Projects within these categories exceed
$8.6 million and highlights include:
Santa Ana Heights utility undergrounding ($7,411,200)
• Oil Field improvements ($450,000)
• Computer related purchases ($240,000)
• Equipment purchases ($244,000)
• Slope repairs and project management ($270,000)
Conclusion
The City continues to undertake an ambitious and wide - ranging capital improvement program.
The projects, both significant and diverse, will serve all areas of the City. It is the City's policy to
appropriate sufficient funds for all projects scheduled during the coming budget year. Many of
the projects require multiple year terms to complete them. In such cases, only the current phase
identified to be completed during FY 2007 -2008 is budgeted and appropriated. Subsequent
phases of a project and projects requiring more time orfunding are reconsidered at the appropriate
time.
103
w
UIWM
TIDE & SUBMERGED LAND FUND
Estimated Funds Available
Estimated Beginning Fund Balance
Estimated Revenue for 2007 -2008 - All Sources
Total Funds Available
Estimated Chargeable Expenditures
Fire
General Services
Police
Public Works
Administrative Services
City Manager - Water Quality & Code Enforcement
City Manager - Harbor Resources
Utilities - Oil & Gas
Capital Projects
Debt Services Expenditures
Total of All Proposed Expenditures
Estimated Ending Fund Balance
$0
$9,490,963
$11,196,350
2,779,891
7,629,721
512,066
83,536
397,995
1,930,168
601,259
2,354,000
237,062
* Although these expenditures are considered Tideland expenditures, they post to the General
Fund. The amounts are calculated as a percentage of the total department budget, based on the
1995 -95 Full Cost Allocation Plan.
1181
$9,490,963
$27,722,048
($18,231,085)
Capital Asset Schedule
as of June 30, 2006
Libraries
Balboa
Year of
Historical
Description
Acquisition
Cost
Administration and Services
1958
217,182
City Hall Complex
1930
$2,347,623
Corporate Yard - General Services
1955
5,712,756
Safety
1956
532,415
Fire Station #1 - Balboa
1962
81,615
Fire Station #2 - Headquarters
1966
94,419
Fire Station #3 - Fashion Island
1971
888,366
Fire Station #4 - Balboa Island
1994
1,420,602
Fire Station #5 - Corona del Mar
1950
237,135
Fire Station #6 - Irvine Avenue
1957
136,009
Fire Station #7 - Santa Ana Heights
2005
4,402,221
Fire Station #8 - Newport Coast
2002
1,816,350
Lifeguard Headquarters
1989
556,483
Police Station
1973
3,057,796
Libraries
Balboa
1906
187,110
Central
1992
15,268,031
Corona del Mar
1958
217,182
Mariners
1957
803,791
Harbors, Beaches, and Recreation
15th Street Restrooms
1956
532,415
19th Street Restrooms
1940
2,000
38th Street Park
1925
212,988
Arroyo Park
2003
17,578,871
Back Bay View Park
2006
2,650,000
Beach and Harbor Right of Way
various
52,705,580
Balboa Community Center
1956
156,246
Balboa Island Park
1973
162,397
Balboa Beach - Parking Lots and Booth
1986
1,619,492
Balboa Pier
1940
3,613,669
Balboa Pier - Concession
1982
n/a
Balboa Pier Restroom
1957
245,489
Balboa Theater
1998
480,000
Balboa Yacht Basin - Apartments /Garages /Parking
1960
150,110
Balboa Yacht Basin - Galley Cafe
1988
44,000
Balboa Yacht Basin - Headquarters / Restrooms
1984
158,746
Balboa Yacht Basin - Land
1930
1,276,308
107
Capital Asset Schedule
as of June 30, 2006 (continued)
Year of
Description Acquisition
Historical
Cost
Balboa Yacht Basin - Piers and Docks
1984
3,079,395
Bayside Park
1926
490,865
Bayview Park
1985
3,917,422
Begonia Park
1926
373,609
Big Canyon - Land
1959
9,696,650
Bob Henry Park
1997
4,480,305
Bolsa Park
1994
99,474
Bonita Canyon Sports Park
2002
3,726,351
Bonita Creek Park
2002
6,978,802
Boy Scout House
1960
2,000
Boys and Girls Club
1971
n/a
Buck Gully Restrooms
1956
13,442
Buffalo Hills Park
1970
4,371,663
Bulkheads
various
2,357,628
Canyon & Harbor Watch Park
2006
850,000
Castaways Park
1997
803,052
CDM Beach - Concession
1970
30,994
CDM Beach - Parking Lot and Booth
1957
1,141,741
CDM Beach - Recreation
2003
180,896
CDM Beach - Restrooms
1956
54,883
Channel Place Park
1958
504,202
Cliff Drive Park
1917
1,026,091
Cliff Drive View Park
1975
147,668
Eastbluff Park
1965
557,822
Ensign Park
1973
804,466
Ferry Landing Restrooms
1962
28,917
Galaxy Park
1962
255,697
Gateway Park
1999
1,014,620
Girl Scout House
1956
24,665
Grant Howald Park
1964
278,216
Grant Howald Park - Community Youth Center
1988
867,529
Harbor View Nature Park
1974
4,167,542
Inspiration Point
1953
16,000
Irvine Terrace Park
1960
1,703,456
Jasmine Creek Park
1959
48,961
Kings Road Park
1974
210,482
L Street Park
1924
41,948
Las Arenas Park
1956
133,438
Lido Park
1973
94,219
108
Capital Asset Schedule
as of June 30, 2006 (continued)
Year of Historical
Description Acquisition Cost
Lookout Point
1953
16,000
Los Trancos Canyon View Park
2006
1,280,000
Marine Education Facility
2003
511,687
M Street Park
1930
12,763
Mariners Park
1957
1,557,747
Newport Aquatic Center
1987
n/a
Newport Coast Community Center
2006
5,340,000
Newport Island Park
1938
110,256
Newport Pier
1940
3,503,624
Newport Pier - Concession
1990
n/a
Newport Pier- Restrooms
1989
305,188
Newport Shores Park
1906
57,258
Newport Theater Arts
1973
359,002
Newport Village Park
2006
2,290,000
Oasis Senior Center
1975
2,022,104
Ocean Front Parking Lot
1919
302,258
Old School Park
1917
24,829
Peninsula Park
1929
609,228
Rhine Wharf Park
1974
52,620
San Joaquin Hills Park
1965
1,162,974
San Miguel Park
1983
2,796,293
Spyglass Hill Park
1970
499,239
Spyglass Reservoir Park
1970
312,377
Sunset Park
1970
311,435
Sunset Ridge Park
2006
175,000
Veterans Park
1994
52,795
Washington Street Restrooms
1935
320,946
West Jetty View Park
1917
8,276
West Newport Community Center
1988
1,200,000
West Newport Park
1972
5,529,229
Westcliff Park
1962
729,952
Other
26th Street Parking Lot
1965
85,848
30th Street Parking Lot
1987
1,039,429
Balboa Bay Club - Land
1918
1,049,252
Bayside and Marguerite Parking Lot
1950
83,494
Beacon Bay - Land
1919
750,103
[IQ
Capital Asset Schedule
as of June 30, 2006 (continued)
Infrastructure
Road System
Year of
Historical
Description
Acquisition
Cost
Buck Gully
2006
16,180,000
Cannery Village Parking Lot
1989
1,146,634
John Wayne Gulch
2006
3,920,000
Mariners Mile Parking Lot
1976
642,081
Palm Street Parking Lot
1906
55,721
Vacant Land behind Central Library
1992
6,448,622
Equipment
1996
3,800,000
Rolling Equipment
various
19,875,810
Other Equipment
various
3,367,574
Infrastructure
Road System
various
1,770,111,286
Storm Drain System
various
55,354,550
Bicycle Paths
various
42,975,504
Oil Wells
various
1,145,496
Walls
various
1,860,103
Water System
Utility Yard
1987
2,222,243
Water Reducers
various
82,079
Water Meters
various
1,184,301
Water Lines /Mains
various
67,193,016
Fire Hydrants
various
341,839
Reservoirs:
Big Canyon
1959
24,086,298
Spyglass
1972
418,244
16th Street
1996
3,800,000
Capitalized Interest
1995
1,034,462
Pump Stations
various
8,125,224
Wells
1996
3,417,000
Equipment
various
148,191
Sewer System
Sewer Lines /Mains
various
32,578,920
Pump Stations
various
8,457,500
TOTAL
$2,284,024,815
* Leasehold improvements made by Lessee not valued.
110
EQUIPMENT MAINTENANCE AND REPLACEMENT FUND
Schedule of Rolling Equipment Replacement (FY 2007 -08)
Police Department
Support Services Truck
Patrol /Traffic Sedans (5)
Patrol Station Wagons (2)
Patrol Quads -Beach 4WD (4)
Police Motorcycles (2)
Traffic Truck (2)
Traffic Sedan
Administrative Services
Truck, 1/2 ton With Liftgate
Station Wagon
Buildina Department
Station Wagon (2)
Public Safety Departments
$
21,000
$
168,000
$
83,000
$
12,000
$
38,000
$
42,000
$
26,000
Sub Total $
390,000
Fire Department
Fire Pumper
Medic Van
Lifeguard Jeep (2)
Station Wagons, 4x4 (3)
Other Departments
Library
$ 25,000 Station Wagon
$ 18,000
Sub Total $ 43,000 Public Works Department
Station Wagon (3)
Station Wagon, 4x4
$ 38,000
General Services Department
$
65,000
Trailer, Wheeled Pump
$
50,000
Beach Tractor
$
70,000
Message Board
$
25,000
Truck, 1 Ton Stakebed (3)
$
99,000
Truck, 1/2 Ton (3)
$
66,000
Sub Total $ 310,000
PUBLIC SAFETY TOTALS
OTHER DEPARTMENT TOTALS
GRAND TOTAL ALL DEPARTMENTS
$ 335,000
$ 135,000
$ 53,000
$ 107,000
Sub Total $ 630,000
G, :111
$ 72,000
$ 25,000
Sub Total $ 97,000
Recreation /Senior Services Department
Bus, 19 Passenger $ 75,000
Van, 1/2 Ton $ 22,000
Sub Total $ 97,000
Utilities Department
Truck, 1 1/2 Ton Bucket
$
65,000
Trucks, 1 1/2 Ton Flatbed (2)
$
84,000
Truck, 1 1/2 Ton Utility Body with Crane
$
50,000
Truck, 1 Ton Utility Body
$
38,000
Van, 1 Ton
$
35,000
$ 1,020,000
$ 875.000
$ 1,895,000
Sub Total $ 272,000
111
City of Newport Beach
Preliminary
Resource Allocation Plan
2007 -2008
Rolling Stock in Service
Information will be updated
and provided in the final
Resource Allocation Plan
112
SEVEN YEAR COMPARISON OF FULL -TIME POSITIONS
2001 -02 2002 -03 2003 -04 2004.05 2005 -06 2006 -07 2007 -08
GENERAL CITY GOVERNMENT
City Council
0.00
0.00
0.00
0.00
0.00
0.00
0.00
City Clerk
3.00
3.00
3.00
3.00
3.00
3.00
3.00
City Manager
11.00
11.00
17.00
19.00
20.00
20.00
22.00
Human Resources
9.00
9.00
9.00
9.00
9.00
9.00
9.00
City Attorney
5.00
5.00
5.00
5.00
5.00
5.00
3.00
Administrative Services
49.00
49.00
50.00
50.00
53.00
56.00
56.00
Total
77.00
77.00
84.00
86.00
90.00
93.00
93.00
PUBLIC SAFETY
Police
238.00
237.00
237.00
237.00
238.00
240.00
240.00
Fire
146.00
147.00
148.00
148.00
150.00
153.00
153.00
Total
384.00
384.00
385.00
385.00
388.00
393.00
393.00
COMMUNITY DEVELOPMENT
Planning
18.00
20.00
18.00
18.00
19.00
23.00
23.00
Building
26.00
26.00
28.00
29.00
29.00
29.00
29.00
Total
44.00
46.00
46.00
47.00
48.00
52.00
52.00
PUBLIC WORKS
Public Works
33.00
33.00
33.00
33.00
34.00
33.00
33.00
Utilities - Electrical
5.00
5.00
5.00
5.00
5.00
5.00
5.00
General Services
110.00
111.00
109.00
109.00
109.00
110.00
112.00
General Services - Equipment ISF
15.00
15.00
15.00
15.00
15.00
15.00
15.00
Total
163.00
164.00
162.00
162.00
163.00
163.00
165.00
COMMUNITY SERVICES
Library
36.00
37.00
36.00
36.00
39.00
40.00
40.00
Arts & Cultural
1.00
1.00
1.00
1.00
1.00
1.00
1.00
Administration
2.00
0.00
0.00
0.00
0.00
0.00
0.00
Recreation
11.00
11.00
11.00
11.00
12.00
12.00
14.00
Senior Services
7.00
7.00
7.00
10.00
10.00
10.00
10.00
Recreation & Senior Services Admin
0.00
2.00
2.00
2.00
3.00
3.00
3.00
Total
57.00
58.00
57.00
60.00
65.00
66.00
68.00
BALBOA YACHT BASIN
1.00
1.00
1.00
1.00
0.00
0.00
0.00
WATER ENTERPRISE FUND
33.00
33.00
33.00
34.00
34.00
34.00
35.00
SEWER ENTERPRISE FUND
12.00
12.00
13.00
13.00
13.00
13.00
13.00
TOTAL FULL -TIME POSITIONS
771.00
775.00
781.00
788.00
801.00
814.00
819.00
113
Glossary
Fund Descriptions
Ackerman Donation Fund - Used to account
for the disbursement of funds received from the
Ackerman Trust. Such funds must be used for
library and scholarship purposes.
Air Quality Management District (AQMD) Fund
- Used to account for revenues received from
the South Coast Air Quality Management District
restricted for the use of reducing air pollution.
Arterial Highway Rehabilitation Program
(AHRP) Fund— Used to account for federal
funds available through the Federal Highway
Administration Arterial Highway Rehabilitation
Program to share the cost of rehabilitating certain
arterial roadways in the City.
Assessment District Fund - Used to account for
the receipt and expenditure of funds received from
1911 Act and 1915 Act Assessment Districts for
capital improvement projects.
Asset Forfeiture Fund - Established to account
for revenues resulting from the seizure of assets
in conjunction with criminal cases (primarily drug
trafficking). The City's policy is that all such funds
be used for enhancement of law enforcement
programs.
Back Bay Science Center Fund — Used to
account for revenues and expenditures related to
construction of the Back Bay Science Center.
Bonita Canyon Development Fund — Used to
account for the receipt and expenditure of funds
for the Bonita Canyon Public Facilities Agreement.
The improvements include certain public parks
and recreation facilities, and street improvements
and facilities.
Building Excise Tax Fund - Used to account for
revenues received from builders or developers
on building or remodeling projects within the City.
Expenditures from this fund are used exclusively
for public safety, libraries, parks, beaches, or
recreational activities.
114
CIOSA Construction Fund - Used to account
for the receipt and expenditure of funds for
the Circulation Improvement and Open Space
Agreement (CIOSA). The improvements include
street and frontage improvements.
Circulation and Transportation Fund - Used
to account for fair share revenues collected from
developers and restricted for capital improvement
projects meeting the circulation element of the
City's General Plan.
Civic Center /Fire Station Construction Fund
- Used to account for activities related to the
possible re- building or relocation of the existing
City Hall complex including the Fire Station.
Community Development Block Grant (CDBG)
Fund - Used to account for revenues and
expenditures related to the City's Community
Development Block Grant program. These funds
are received from the Federal Department of
Housing and Urban Development and must be
expended exclusively on programs for low or
moderate income individuals or families.
Compensated Absence Fund — Used to
account for the City's accumulated liability for
compensated absences.
Contributions Fund - Used to account for
revenues received from other government
agencies or private developers and expended for
specific projects.
Environmental Liability Fund - Used to account
for solid waste fees restricted for mitigation
of future environmental liability relating to the
handling of solid waste.
Equipment Fund - Used to account for the cost
of maintaining and replacing the City's rolling
stock fleet and the rental of the fleet to operating
departments.
Fire Station #7 Fund — Used to account
for receipt of revenue intended to fund the
construction of a new Fire Station 7 located in the
Santa Ana Heights area of the City.
General Fund - Used to account for fiscal
resources, which are: a) dedicated to the general
government operations of the City, and b) not
required to be accounted for in another fund.
Insurance Reserve Fund - Used to account for
the City's self- insured general liability and workers'
compensation program.
Justice Assistance Grant (JAG) Fund —
Formerly called the Local Law Enforcement Block
Grant Fund. Used to account for federal su000rt
of law enforcement activities.
Library Debt Service Fund — Used to account
for the debt service transactions related to the
Certificates of Participation used to finance the
construction of the Central Library.
Mariners Library Fund — Used to account
for receipt of revenue intended to fund the
construction of a new Mariners Branch Library.
Measure M Fund — Used to construct
transportation improvement and traffic congestion
relief projects. Funding is one percent of retail
transaction and use tax.
Miscellaneous Santa Ana Heights Projects
— Used to account for revenue and expenditures
related to miscellaneous projects in Santa Ana
Heights.
Newport Annexation Fund — Used to account for
receipt of revenue from the Irvine Ranch Water
District intended to repay Newport Coast property
owners for a portion of assessment district costs,
and for construction of a community center in
Newport Coast.
Newport Bay Dredging Fund — Used to account
for the receipt of permanent endowments intended
to fund the ongoing cost of maintaining and
dredging of the Upper Newport Bay.
Oil Spill Remediation Fund — Used to account
for the receipt of the settlement proceeds from the
American Trader Company. These funds must be
used on projects affecting the areas damaged by
the spill.
Retiree Insurance Fund — Used to account for
the cost of providing post - employment health care
benefit.
Santa Ana Heights Community Center Fund
— Used to account for revenues and expenditures
associated with the development and construction
of a community center in Santa Ana Heights.
State Gas Tax Fund - Accounts for all State Gas
Tax related revenues and expenditures, including
street repair, construction, and maintenance. State
law requires that these funds be used exclusively
for maintenance of the street and highway system.
Supplemental Law Enforcement Services Fund
(SLESF) — Used to account for revenues received
from the County to be used exclusively for front-
line law enforcement activities.
Tide and Submerged Land Fund - Used to
account for all revenues and expenditures related
to the operation of the City's tidelands, including
beaches and marinas.
Traffic Congestion Relief Fund — Used to
account for all revenues received from the State
Treasury as per Assembly Bill 2928. These
funds must by used only for maintenance or
reconstruction costs on public streets or roads.
Wastewater Enterprise Fund - Used to account
for the activities associated with providing sewer
services by the City to its users.
Water Enterprise Fund - Used to account for
the activities associated with the transmission
and distribution of potable water by the City to its
users.
115
Accounting Terms
Accrual Basis - The basis of accounting in which
transactions are recognized at the time they are
incurred, as opposed to when cash is received or
spent. The accrual basis of accounting is used to
account for all proprietary (enterprise and internal
service funds) fund types.
Activity - Departmental efforts that contribute to the
achievement of a specific set of program objectives;
the smallest unit of the program budget.
Appropriation -A legal authorization to incurobligations
and to make expenditures for specific purposes.
Assessed Valuation - The valuation set upon real
estate and certain personal property by the Assessor
as a basis for levying property taxes.
Authorized Positions - Employee positions, which
are authorized in the adopted budget, to be filled
during the year.
Available (Undesignated) Fund Balance - This
refers to the funds remaining from the prior year that
are available for appropriation and expenditure in the
current year.
Bond Refinancing - The payoff and reissuance of
bonds, to obtain better interest rates and /or bond
conditions.
Bonds —Aform of borrowing (debt financing) which
reflects a written promise from the City to repay a sum
of money on a specific date at a specified interest
rate.
Budget - A plan of financial activity for a specified
period of time indicating all planned revenues and
expenses for the budget period.
Budget Calendar - The schedule of key dates that a
government follows in the preparation and adoption of
the budget.
Budgetary Basis - This refers to the basis of
accounting used to estimate financing sources and
uses in the budget. This generally takes one of three
forms: GAAP, cash, or modified accrual.
116
Budgetary Control - The control or management of a
government in accordance with the approved budget
for the purpose of keeping expenditures within the
limitations of available appropriations and resources.
Capital Budget- The appropriation of bonds or
operating revenue for improvements to facilities, and
other infrastructure.
Capital Improvements - Expenditures related to the
acquisition, expansion or rehabilitation of an element
of the government's physical plant; sometimes
referred to as infrastructure.
Capital Improvements Program (CIP) - A plan for
capital outlay to be incurred each year over a fixed
number of years to meet capital needs arising from
the government's long -term needs.
Capital Outlay- Fixed assets which have a value of
$500 or more and have a useful economic lifetime
of more than one year; or, assets of any value if the
nature of the item is such that it must be controlled for
custody purposes as a fixed asset.
Capital Project - Major construction, acquisition,
or renovation activities which add value to a
government's physical assets or significantly increase
their useful life. Also called capital improvements.
Capital Reserve - An account used to segregate
a portion of the government's equity to be used
for future capital program expenditures. The
amount of capital reserve is roughly equal to the
government's annual equipment depreciation and an
amount identified as being needed for future capital
acquisition.
Cash Basis -A basis of accounting in which
transactions are recognized only when cash is
increased or decreased.
Certificate of Participation — A debt issue similar to
issuing bonds, but less restrictive.
Charges for Services - Those charges levied
to individuals or organizations for the use or
consumption of services provided by the City.
Consumer Price Index (CP/) - A statistical
description of price levels provided by the U.S.
Department of Labor. The index is used as a measure
of the increase in the cost of living (i.e., economic
inflation).
Contingency -A budgetary reserve set aside
for emergencies or unforeseen expenditures not
otherwise budgeted.
Debt Service - The cost of paying principal
and interest on borrowed money according to a
predetermined payment schedule.
Deficit- The excess of an entity's liabilities over its
assets or the excess of expenditures or expenses
over revenues during a single accounting period.
Department -The basic organizational unit of
government which is functionally unique in its delivery
of services.
Depreciation - Expiration in the service life of capital
assets attributable to wear and tear, deterioration,
action of the physical elements, inadequacy or
obsolescence.
Development Fees - Those fees and charges
generated by building, development and growth in a
community. Included are building and street permits
development review fees, and zoning, platting and
subdivision fees.
Disbursement - The expenditure of moneys from an
account.
Distinguished Budget Presentation Awards
Program - A voluntary awards program administered
by the Government Finance Officers Association to
encourage governments to prepare effective budget
documents.
Employee (or Fringe) Benefits - Contributions
made by a government to meet commitments or
obligations for employee fringe benefits. Included is
the government's share of costs for various pensions,
medical and life insurance plans, etc.
Encumbrance - The commitment of appropriated
funds to purchase an item or service. To encumber
funds means to set aside or commit funds for a
specified future expenditure.
Enterprise Fund — Used to account for City
operations that are financed and operated in a
manner similar to private business enterprises. The
objective of segregating activities of this type is to
identify the costs of providing the services, and to
finance them through user charges.
Expenditure - The payment of cash on the transfer
of property or services for the purpose of acquiring an
asset, service, or settling a loss.
Expense - Charges incurred (whether paid
immediately or unpaid) for operations, maintenance,
interest, or other charges.
Fiscal Policy -A government's policies with respect
to revenues, spending, and debt management as
these relate to government services, programs,
and capital investment. Fiscal policy provides an
agreed upon set of principles for the planning and
programming of government budgets and their
funding.
Fiscal Year - Atwelve -month period designated as
the operating year for accounting and budgeting
purposes in an organization. The City of Newport
Beach's fiscal year is July 1 through June 30.
Fixed Assets -Assets that are intended to continue
to be held or used long -term, such as land, buildings,
machinery, furniture, and other equipment. Fixed
assets are also called capital assets.
Full -time Equivalent Position (FTE) - A part-time
position converted to the decimal equivalent of a
full -time position based on 2080 hours per year. For
example, a part-time fiscal clerk working 20 hours
per week would be the equivalent to .5 of a full -time
position.
Function - A group of related activities aimed at
accomplishing a major service or regulatory program
for which a government is responsible (e.g., public
safety).
Fund -A fiscal entity with revenues and ex- penses
which are segregated for the purpose of carrying out
a specific purpose or activity.
Fund Balance - The excess of the assets of a fund
over its liabilities, reserves, and carryover.
117
GAAP - Generally Accepted Accounting Principles.
Uniform minimum standards for financial accounting
and recording, encompassing the conventions, rules,
and procedures that define accepted accounting
principles.
General Obligation (G. 0.) Bond - This type of bond
is backed by the full faith, credit, and taxing power of
the government.
Goal -A statement of broad direction, purpose or
intent based on the needs of the community. A goal is
general and timeless.
Governmental Accounting Standards Board
(GASB) — The ultimate authoritative accounting and
financial reporting standard - setting body for state and
local governments.
Grants - A contribution by a government or other
organization to support a particular function. Grants
may be classified as either operational or capital,
depending upon the grantee.
Indirect Cost - A cost necessary for the functioning
of the organization as a whole, but which cannot be
directly assigned to one service.
Infrastructure - The physical assets of a government
(e.g., streets, water, sewer, public buildings, and
parks).
Intergovernmental Revenue - Funds received from
federal, state, and other local government sources in
the form of grants, shared revenues, and payments in
lieu of taxes.
Internal Service Charges - The charges to user
departments for internal services provided by another
government agency, such as equipment maintenance
and replacement charges, or insurance funded from a
central pool.
Lapsing Appropriation - An appropriation made for
a certain period of time, generally for the budget year.
At the end of the specified period any unexpected
or unencumbered balance lapses or ends, unless
otherwise provided bylaw.
Levy- To impose taxes for the support of government
activities.
Line -item Budget —A budget prepared along
departmental lines that focuses on what is to be
bought.
Long -term Debt— Debt with a maturity of more than
one year after the date of issuance.
Maintenance and Operations — Expendable
materials and operating supplies necessary to
conduct depart- mental operations.
Modified Accrual Basis — The basis of accounting
in which revenues are recognized when they
become both "measurable" and "available" to finance
expenditures or the current period. All governmental
and fiduciary fund types are accounted for using the
modified accrual basis of accounting.
Net Budget— The legally adopted budget less all
interfund transfers and interdepartmental charges.
Object of Expenditure — An expenditure
classification, referring to the lowest and most detailed
level of classification, such as electricity, office
supplies, asphalt, etc.
Obligations — Amounts which a government may
be legally required to meet out of its resources.
They include not only actual liabilities, but also
encumbrances not yet paid.
Operating Expenses — The cost for personnel,
materials, and equipment required for a department to
function.
Operating Revenue — Funds that the government
receives as income to pay for on -going operations.
It includes such items as taxes, fees from specific
services, interest earnings, and grant revenues.
Operating revenues are used to pay for day -to -day
services.
Performance Budget —A budget wherein
expenditures are based primarily upon measurable
performance of activities and work programs.
Prior -Year Encumbrances — Obligations from
previous fiscal years in the form of purchase
orders, contracts, or salary commitments which are
chargeable to an appropriation, and for which a
part of the appropriation is reserved. They cease to
be encumbrances when the obligations are paid or
otherwise terminated.
118
Program —A group of related activities performed
by one or more organizational unit for the purpose of
accomplishing a function for which the government is
responsible.
Program Budget —A budget that allocates money to
the functions or activities of a government rather than
to specific items of cost or to specific departments.
Program Performance Budget — A method of
budgeting whereby the services provided to the
residents are broken down in identifiable service
programs or performance units. A unit can be a
department, a division, or a workgroup. Each program
has an identifiable service or output and objectives to
effectively provide the service. The effectiveness and
efficiency of providing the service by the program is
measured by performance indicators.
Program Revenue (Income) - Revenues earned by
a program, including fees for services, license and
permit fees, and fines.
Purpose - A broad statement of the goals, in terms
of meeting public service needs, that a department is
organized to meet.
Reserve - An account used either to set aside
budgeted revenues that are not required for
expenditure in the current budget year or to earmark
revenues for a specific future purpose.
Resolution - A special or temporary order of a
legislative body; an order of a legislative body
requiring less legal formality than an ordinance or
statute.
Resources - Total amounts available for appropriation
including estimated revenues, fund transfers, and
beginning balances.
Revenue - Sources of income financing the
operations of government.
Revenue Bond - A bond that is backed only by the
revenues from a specific enterprise or project, such as
a hospital or toll road.
Secured Property Tax —A tax levied on both real
and personal property according to the property's
valuation and the tax rate.
Service Indicators - Specific quantitative and
qualitative measures of work performed as an
objective of specific departments or programs.
Source of Revenue - Revenues are classified
according to their source or point of origin.
Supplemental Appropriation -An additional
appropriation made by the governing body after the
budget year has started.
Tax Levy - The resultant product when the tax rate
per one hundred dollars is multiplied by the tax base.
Taxes - Compulsory charges levied by a government
for the purpose of financing services performed for
the common benefit of the people. This term does
not include specific charges made against particular
persons or property for current or permanent benefit,
such as special assessments.
Transfers In /Out - Amounts transferred from one
fund to finance the services for the recipient fund.
Transient Occupancy Tax — A tax paid to the City
for short-term lodging /residency within the City limits.
Short-term is defined as 30 days or less.
Unencumbered Balance - The amount of
an appropriation that is neither expended nor
encumbered. It is essentially the amount of money still
available for future purposes.
Unreserved Fund Balance - The portion of a fund's
balance that is not restricted for a specific purpose
and is available for general appropriation.
Unsecured Property Tax — The property tax on
unsecured property such as business inventory or
moveable equipment.
User Charges - The payment of a fee for direct
receipt of a public service by the party who benefits
from the service.
Working Capital - Excess of readily available assets
over current liabilities. Or cash on hand equivalents
which may be used to satisfy cash flow needs.
119